Job description
- Upsurging Asset Management
- Great Remuneration Package
- C-suite Executive
This Upsurging Asset Management is looking for seasoned Chief Investment Officer to helm their investment platform in Hong Kong, steering a high-calibre team of eight seasoned professionals encompassing portfolio managers, traders, and investment analysts. This pivotal role demands a visionary leader with profound expertise in fixed income and equities, serving as the strategic conduit between global headquarter and the Hong Kong office.
job scope.
As the Chief Investment Officer in an Upsurging Asset Management, your key responsibility will be to:
- Architect and direct the overarching investment strategy, encompassing asset allocation and portfolio management across fixed income and equities in secondary markets, with full accountability for superior performance outcomes.
- Oversee the quotidian oversight and agile surveillance of investment operations, devising proactive interventions, and iteratively refining strategies to navigate dynamic market landscapes.
- Orchestrate the inception and successful launch of flagship public funds, navigating regulatory filings, investor roadshows, and capital-raising milestones with consummate finesse.
- Conceive and deploy bespoke private fund vehicles, structuring sophisticated mandates for institutional and high-net-worth clientele whilst ensuring alignment with strategic yield imperatives.
- Spearhead the evolution of our investment research architecture, elevating team competencies, pioneering analytical models, enriching data repositories, and advancing bond universe curation alongside rigorous credit risk stewardship; conduct incisive market diagnostics and forward-looking research to realise ambitious return imperatives.
- Fortify institutional frameworks and streamline procedural protocols to guarantee regulatory compliance, operational excellence, and seamless efficacy in investment execution.
- Partner in crafting a resilient risk governance paradigm for fixed income and equities, enforcing meticulous pre-, in-, and post-investment risk mitigation protocols.
- Co-engineer the expansion and refinement of our asset management suite, fostering innovation to cultivate a diversified, multi-strategy product continuum tailored to eclectic investor appetites.
- Execute directives emanating from executive committees with precision and alacrity.
- Undertake bespoke mandates as entrusted by the executive echelon.
- Advanced postgraduate qualification (Master’s or higher) in Finance, Economics, Quantitative Sciences, or cognate disciplines; possession of CFA, CAIA, or FRM charters confers distinct advantage.
- No less than 10 years of experience in secondary market fixed income and equities research within premier domestic and global financial houses, inclusive of proven leadership as a Hong Kong-based fund manager and team orchestration, evidenced by exemplary track records.
- Intimate command of international fixed income and equity instruments, underpinned by expansive transactional pedigree.
- Holder of SFC Type 1, 4, or 9 Responsible Officer licences; thorough acquaintance with Hong Kong SFC regulatory edicts, coupled with unimpeachable ethical standards, integrity, and an unblemished compliance history.
- A sophisticated, enduring investment ethos allied with acute perceptual acuity in market discernment.
- Exemplary aptitude for intellectual agility, inventive prowess, and superlative interpersonal and collaborative finesse.
- Commanding proficiency in English, Cantonese, and Mandarin, both oral and scripted.
Still considering? Contact Cathleen Chen on +852 3901 8731 for confidential discussion about it, we are always happy to help.