Company Description
JIA Asset Management provides an independent, fully customised wealth management experience tailored to individual clients. Specialising in portfolio management, the company emphasises personalised service and attention to detail. Based in Kuala Lumpur, JIA complements its global reach with a local touch, offering a diverse range of financial solutions. Licensed by the Securities Commission of Malaysia, the company collaborates with both local and international partners to address clients' unique financial needs.
JIA AM Boutique Fund Management Start-up is looking for a Fund Manager.
Job description
About Us
An exciting opportunity for a highly motivated individual to come on board our licensed, boutique fund management firm.
Job Scope
- Investment knowledge, research and expertise - Strong analytical skills on capital markets, industry trends, stocks and quantification of the corresponding impact on the market portfolio investments
- Lead weekly investment meeting
- Monitor and provide updates on companies and sectors within the portfolio
- Lead execution of portfolio strategy and monitoring
- Ensure all trades are within risk parameters and guidelines.
- Active engagement with clients to ensure a good relationship in all areas required.
- Portfolio Management - Drive the overall performance of the portfolio for all accounts under management with a commitment to outperform benchmarks and maintain good market positioning for competitiveness relative to peers
- Formulate an effective portfolio strategy in terms of asset allocation, duration positioning and security selections in line with the clients' mandates
- Familiarity with financial regulations
- Documentation skills - Ensure high-quality presentations on the market and economic reviews and outlook
- Monitor and update all economic data and development.
Requirements:
- Minimum 5 years relevant experience, with a sound market understanding background.
- Minimum Degree or Professional Qualification in Business /Accounting / Finance / Economics/Investment, Commerce or equivalent.
- Professional Accreditation: Ideally a CMSRL holder with one or more of the following SC modules: Module 9: Fund Management Regulation, Module 10: Assets and Fund Management, Module 17: Securities and Derivatives Trading (Rules & Regulations), Module 18: Securities and Derivatives Trading (Products & Analysis).
Salary:
Competitive salary offered based on experience.
To apply, please submit your latest CV and cover letter to *************
Industry
Employment Type
Full-time