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Job Description

About the role

UOB KAY HIAN WEALTH ADVISORS SDN. BHD. is seeking an experienced Fund Manager to join our team in Bukit Damansara, Kuala Lumpur. As a full-time Fund Manager, you will play a key role in managing and growing our diverse portfolio of investment funds, with a focus on the fund management industry.

Job Responsibilities

Portfolio Management & Strategy

  • Manage and monitor investment portfolios to maximize returns while managing risk.
  • Develop and implement investment strategies aligned with fund objectives.
  • Make investment decisions, including rebalancing and allocation adjustments.

Financial Modelling & Analysis

  • Oversee financial modelling for portfolio analysis and fund deployment.
  • Interpret complex financial data to support investment decisions.
  • Develop new models for risk assessment, scenario analysis, or performance tracking.

Research & Market Analysis

  • Conduct research on global and regional markets, equity selections, ETFs, funds, and structured products.
  • Summarize research insights and provide actionable recommendations for investment strategies.
  • Monitor market trends and provide regularly market summaries for internal use.

Reporting & Documentation

  • Prepare performance reports and documentation for management, clients, and advisors.
  • Ensure all investment decisions, processes, and research are properly documented and compliant with regulations.

Team & Stakeholder Collaboration

  • Collaborate with internal teams and stakeholders to optimize portfolio performance and provide guidance to junior staff.
  • Engage with clients and advisors to communicate fund strategy and performance effectively.

Job Requirements

  • Bachelor's degree in finance, Economics, Accounting, or related field.
  • 2 position available for 35 years of experience & minimum 10 years of experience in fund management, portfolio management, or investment analysis.
  • Completion of Modules 9/10 as part of professional certification.
  • Understanding of investment products, financial markets, portfolio management techniques, and risk management.
  • Excellent stakeholder management and presentation skills / Strong team management and leadership skills.
  • Demonstrated professionalism, integrity, and leadership in investment activities.
  • Ability to interpret complex financial data and provide actionable insights.
  • Strong analytical and quantitative skills.

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Job ID: 145216349