Job description
- Leading Regional Bank
- Great Remuneration Package
- Great Exposure
This leading Regional Bank is looking for seasoned investment strategist, covering all asset classes for individual and institutional clients, leading a team of 4. Great exposure and great remuneration package are provided.
job scope.
As the Managing Director, Investment Strategist in a Leading Regional Bank, your key responsibility will be to:
- Conduct in-depth research on multi-asset classes, including but not limited to FX, equities, fixed income and alternatives, utilizing economic analysis and quantitative methods to uncover trends and investment opportunities.
- Develop and maintain the firm’s House View on asset allocation, regional markets (developed & emerging), and sector themes to guide client strategies.
- Present investment insights to individual and institutional clients through meetings, seminars, and media engagements in multiple languages tailored to diverse client audiences.
- Produce high-quality bilingual investment content, including market commentaries, research reports, and thematic thought leadership pieces.
- Collaborate with internal teams to align investment views and enhance research quality.
- Engage with Relationship Managers and senior leadership to ensure consistent communication of investment strategies to clients.
- Represent the firm’s investment perspectives in local and international media to strengthen brand credibility.
- Lead and mentor a team of investment strategists, fostering collaboration and driving performance toward shared objectives.
- Monitor market trends and emerging themes to ensure research remains relevant and actionable for clients.
- Contribute to the development of innovative investment solutions across all asset classes to meet evolving client needs.
- Manage the timely production and distribution of research publications to support advisory services.
requirements.
- Bachelor's degree in business, finance, economics or a related field. MBA or other relevant certifications (such as CFA, CPWP, CFP) are a plus.
- Minimum 15 years of research, analyst or asset management experience in leading banks or financial institutions, with at least 3 years in a supervisory role
- Deep knowledge of global and local markets of different asset classes and investment products
- Excellent and persuasive writing and presentation skills
- Competent in public presentation and conduct briefing to frontlines
- Good command of written and spoken Chinese (Putonghua and Cantonese) and English
- Self-motivated with strong communication, interpersonal and analytical skills
- A critical thinker willing to challenge mainstream views
If you believe you meet the above requirements and have the passion and drive to excel in this role, we invite you to submit your application. We apologies that only shortlisted candidates will be contacted. Please click the 'Apply' button below or send through your most updated CV to cchen@captarpartners.com. We apologies that only shortlisted candidates will be contacted.
Still considering? Contact Cathleen Chen on +852 3653 5247 for confidential discussion about it, we are always happy to help.