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Finance Leadership · Hong Kong SAR China

International Index Fund Manager

fuku·Hong Kong, Hong Kong, Hong Kong

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International Index Fund Manager (Hong Kong Subsidiary)

About Our Client:

  • Top Chinese Asset Management Institution

Location:

  • Hong Kong

Responsibilities:

  • Manage portfolios of international index products (QDII and Stock Connect), including portfolio construction and regular reviews.
  • Strictly track the benchmark index and optimize tracking error control techniques according to market conditions.
  • Assist in the research and design of international index products, supporting the development and implementation of these products.
  • Promote the intelligent upgrade of end-to-end investment and trading systems for international index products.
  • Build an efficient and stable digital and intelligent management platform to enhance portfolio operating efficiency and risk control standards.

Requirements:

  • Master’s degree or above, preferably in financial engineering, mathematics, quantitative finance, or related disciplines.
  • Excellent written and verbal communication skills in both Chinese and English; English can be used as a working language.
  • Minimum of 3 years of relevant business experience in overseas investment management, including at least one year of relevant work at a financial institution within the most recent year.
  • Strong logical thinking, analytical and judgment capabilities, verbal and written communication skills, and interpersonal communication skills.
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