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Investment Manager

Open 52d

Job Responsibilities

  • Manage the company's assigned investment portfolio and be accountable for its performance and risk management.
  • Develop and execute investment strategies based on market analysis and risk assessment.
  • Conduct independent investment decision-making and make investment decisions across equities, options, and investment funds.
  • Monitor financial markets, macroeconomic developments, and industry trends to optimize portfolio performance.
  • Take full responsibility for the performance and risk management of assigned investment accounts.
  • Prepare regular investment reports and provide strategic recommendations.

Requirements

  • Bachelor's degree or above in Finance, Economics, Business, or a related discipline.
  • Minimum 2 years of hands-on experience in securities investment or portfolio management.
  • Strong understanding of the mechanics and trading strategies of equities, options, and investment funds.
  • Proven ability to make independent buy-and-sell decisions with sound investment judgment.
  • Strong analytical skills with a disciplined approach to risk management.
  • Candidates with prior experience at established financial institutions (e.g. banks, securities firms, asset management companies, or fund management firms) will be highly preferred.

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