Job Openings Portfolio Manager

About the job Portfolio Manager

Job Title: Portfolio Manager

Unit: Research and Portfolio Management

Reports to: Head, Research and Portfolio Management

Job Summary

Our client, a digital investment and wealth management company, is hiring a Portfolio Manager to assess our clients’ risk tolerance and perform significant market research to develop portfolios that maximize their financial gains. This role will involve the active management of the group’s mutual fund that will be balanced on a regular basis in line with the investment charter.

The ideal candidate must have a solid understanding of fixed income and equities markets, the asset management industry, and experience related to client service and/or portfolio management is required. The Portfolio Manager will be accountable for meeting a wide array of client needs and partnering with internal and external stakeholders to represent the investment team.

Responsibilities

  • Craft investment packages and manage client expectations and transactions to achieve our clients’ overall objectives.

  • Responsible for managing fixed income strategies across separately managed accounts and commingled vehicles, including mutual funds.

  • Manage equity portfolios to maximize investment returns, while maintaining acceptable levels of risk based on management’s expectation.

  • Write periodic market commentary for internal and external dissemination.

  • Communicate with management about portfolio performance, market conditions and economic trends.

  • Provide advice and guidance for investment opportunities in the global equities market.

  • Perform comprehensive daily market research to maintain familiarity with current industry trends and technologies.

  • Perform comprehensive daily market research to maintain familiarity with current industry trends and technologies.

  • Conducting market and economic research to inform investment decisions.

  • Responsible for performance, oversight, and reporting for selected investment strategies on the Fixed income portfolio.

  • Determine a mix of assets and investments that are consistent with strategy mandates.

  • Analyze alternative investment and risk scenarios (e.g., relative value, overall investment return, interplay of various asset classes, and comparative return of different markets).

  • Communicate strategic shifts and changes in the marketplace to clients and internal customers. Trade implementation and strategic rebalancing for new and existing client accounts.

  • Manage one or more mutual funds and/or an assigned group of core investment portfolios.

  • Develop and maintain a rigorous risk framework ensuring continuity with strategy directives, understanding of factor exposures, control of downside deviation and risk/reward methodologies.

  • Communicate to clients about current market conditions, investment alternatives, asset allocation and portfolio results.

  • Attend client meetings and committee meetings as appropriate.


Requirement

  • Bachelor’s degree in Business, Economics, or Finance.

  • Professional certification as a Chartered Financial Analyst (CFA), or similar qualification (ACS, ACA e.t.c), will be desirable.

  • A minimum of 4 years’ professional portfolio management experience.

  • Ability to conduct extensive data research and handle large datasets.

  • Self-motivated, independent and resourceful.

  • High level of curiosity, sense of ownership and accountability

  • Excellent analytical skills and research techniques.

  • Highly organized and detail-oriented with proven ability to multitask.

  • Capable of communicating and expressing ideas clearly & concisely, in both written & oral formats.

  • Capable of being objective and giving/taking constructive feedback.


Salary: N10m- N15m pa gross

Method of Application: Interested and qualified candidates should forward their CVs to careers@worknigeria.com using the job title as the subject of the emaiL