Portfolio Manager, Fund of Fund, Principal Investment - Hong Kong, 香港 - King Deux Search & Consulting

    King Deux Search & Consulting
    King Deux Search & Consulting Hong Kong, 香港

    发现在: Talent HK C2 - 1周前

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    描述

    King Deux Search & Consulting is a specialized executive search firm which offers bespoke talent solutions across financial services and commerce. We are committed to not only finding the right opportunity for our candidates but also leaving a legacy that lives on beyond the hiring process.

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    About Your Company

    Our partner is one of the most renown families in Asia with a broad and extensive network in alternative investment. With sound support from the management board, a portfolio manager with extensive fund of fund experience is needed to join this well-resourced team and lead the portfolio investment.

    Responsibilities

    • Investment Strategy Development: Develop and implement the investment strategy for the fund of funds, considering factors such as risk tolerance, target returns, asset allocation, and diversification. Conduct thorough research and analysis to identify suitable underlying funds and investment opportunities.
    • Fund Selection and Due Diligence: Conduct comprehensive due diligence on potential underlying funds, assessing their investment strategies, performance track records, risk management practices, and alignment with the fund of funds' objectives. Select and monitor a portfolio of high-quality funds that align with the overall investment strategy.
    • Portfolio Construction and Asset Allocation: Construct and manage the fund of funds' portfolio, considering asset allocation targets, risk management guidelines, and investment restrictions. Optimize the portfolio mix to achieve diversification and enhance risk-adjusted returns. Regularly review and rebalance the portfolio as needed.
    • Performance Monitoring and Reporting: Monitor the performance of the underlying funds, evaluating their investment performance, risk metrics, and adherence to stated investment strategies. Prepare periodic reports on portfolio performance, including returns, risk measures, and attribution analysis, to communicate with stakeholders and make informed investment decisions.

    Qualifications

    • Bachelor's degree in Finance, Economics, Business, or a related field. Advanced degree or CFA designation is a plus.
    • Proven experience as a Portfolio Manager with a focus alternative investment : private equity fund, hedge fund, quant funds
    • In-depth knowledge and understanding of fund due diligence process, fund manager screening
    • Strong analytical and financial modeling skills, with the ability to evaluate investment opportunities and assess risks effectively.

    How To Apply

    Interested parties, please send your CV directly to or apply directly. Please note that only shortlisted applicants will be contacted.