Job Description
Job Detail
overview
Our client in the financial sector is seeking to recruit a skilled and analytical Investment professional to support the effective management of the Group's investment portfolio across multiple asset classes. The ideal candidate will have strong financial acumen, solid market awareness, and the ability to translate economic insights into actionable investment strategies.
Responsibilities:
Provide expertise in managing the Group's investment portfolio in line with approved mandates and risk parameters.
Conduct comprehensive market, economic, and financial research to identify investment opportunities locally and internationally.
Keep abreast of global and local economic trends, financial market developments, and emerging opportunities to support strategic decision-making.
Guide recommendations on optimal timing and execution of investment strategies for the internal trading desk.
Execute trades efficiently through approved brokers and trading platforms while ensuring full compliance with internal policies and regulatory requirements.
Monitor market movements, liquidity positions, and portfolio exposures on an ongoing basis.
Perform performance monitoring across asset classes and investment channels, including attribution analysis.
Prepare detailed investment and trading reports for Management and the Board.
Ensure strict adherence to execution protocols, compliance frameworks, and internal control procedures.
what you need to know
Profile:
Degree in Finance, Economics, Investment Management, or related field including a minimum 4 years in investment.
Strong understanding of financial markets, investment instruments, and portfolio management principles.
Solid analytical skills with the ability to interpret complex financial information.
Ability to work in a fast-paced, data-driven environment.
CV Form
Job information
Job Reference:
2604-TLMI-ARL
Published Date:
23 January
