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Asset Management Manager - Treasury and Capital Markets

Key Responsibilities

  • Manage the Asset Management Unit’s activities, strategy, performance and annual targets in coordination with the T&CM Executive Director.
  • Develop and manage client relationships, assess investment needs and risk appetite, and recommend suitable investment and portfolio strategies.
  • Promote Asset Management products and investment solutions to clients and relevant business lines, and execute client orders.
  • Contribute to the Bank’s proprietary trading activities, monitor market drivers and ensure compliance with approved limits and targets.
  • Structure new and tailor-made investment products, including portfolio rebalancing strategies, and generate regular investment ideas.
  • Manage relationships with local and international financial institutions and negotiate competitive pricing and terms.
  • Monitor financial markets, conduct research and analysis, and provide investment insights to support decision-making.
  • Coordinate with regulators, internal control functions and other business units, and ensure effective sharing of relevant market information.

Skills Requirements:

  • Strong planning, organization, communication, time management and leadership skills.
  • Strong knowledge of Treasury & Capital Markets, banking products, policies and procedures.
  • Strong understanding of local and international economies, investment and financing techniques.
  • Strong financial and economic analysis, research and risk assessment skills.
  • Ability to work effectively under tight deadlines.

Required certificates as per CMA Licensing or their equivalent

  • Global Securities
  • Global Financial Derivatives
  • Business Conduct

CFA is a plus

Skills

  • Treasury Management
  • Capital Markets
  • Investment Strategy
  • Portfolio Management
  • Financial Analysis
  • Risk assessment
  • Client Relationship Management

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