Job No.: 499204
Employment Type: Full time
Departments: BOCHK Asset Management Ltd
Job Functions: Asset Management, Business Development
Key Responsibilities:
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Conduct thorough due diligence on PE managers, strategies, and performance across global markets. Evaluate investment opportunities, risks, and potential returns to determine the suitability for inclusion in the portfolio.
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Identify and assess potential managers based on various criteria, including investment strategy, historical performance, risk management, and alignment of interests. Develop and maintain a robust pipeline of prospective managers.
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Monitor the performance and risk characteristics of existing holdings. Identify any potential issues or changes that may impact the fund's performance.
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Prepare investment recommendations and reports based on comprehensive research and analysis. Clearly communicate findings and insights to team leader.
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Ad hoc projects as assigned by the Company.
Requirements:
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Bachelor's degree in finance, economics, or a related field. CFA or CAIA preferred.
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5+ years experience as an investment professional within a PE fund of funds, alternative investment in insurance companies, asset management firm, or investment bank, with a strong focus on global markets.
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Deep understanding of PE fund strategies, investment techniques, and risk management practices.
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Proficiency in quantitative analysis, financial modeling.
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Strong analytical skills with the ability to interpret complex data and draw meaningful conclusions.
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Excellent written and verbal communication skills, with the ability to present complex ideas in a clear and concise manner.