Company : Corporation / Salary : $Negotiable
Roles and Responsibilities :
The position will report directly to the CEO. Responsible for delivering cross asset strategies that provide excess returns based on a risk-controlled scientific investment process.
To maximize the returns by designing optimal development strategies.
To analyze financial gains, as well as assess risks and costs.
Communicate with trust administrators pertinent investment details on portfolio positioning and current market and economic trends
Ensure compliance and consistency with company investment policy provisions and tactical asset allocation decisions
Analyze ongoing performance of portfolios and underlying securities
Conduct market research and analysis and assist in ad hoc projects and analysis as needed
Assist in internal equity and fixed income research activities
Degree in Accounting, Economic, Business, Statistics or Finance. Preference will be given to candidates who are pursuing their CFA designation
Ability to take ownership of implementation of investment strategies and solve day to day portfolio issues
Detail minded with good analytical skills and Analytical skills and high aptitude for numbers
Must know when to buy and sell assets, trades, stocks and securities.
Must comply with state and federal investment regulations while monitoring changes in the law pertaining to taxes on investments.
Excellent responsiveness and problem solving skills
Fluent in both spoken and written English and Chinese including Putonghua
Effective interpersonal, communication and presentation skills