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4 jobs found for Advisor in Hong Kong

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    • permanent
    • full-time
    about the company.This company focuses on legal and financial, real estate activities. about the job.Focusing on asset management portfolio, mixture of bonds and commodities;Monitor the overall portfolio allocation, rebalancing and performance;Review portfolio risk exposure and develop tools for portfolio risk modelling;Serve as strategic advisor on investment portfolios, drive the portfolioconstruction and asset allocation activities and develop portfolio constructionviews to Investment Committeeskills & experiences required.5 - 10 years of fixed income and portfolio management experience;Proficiency in Excel and Bloomberg;Bachelor degree or above, preferably in Accounting, Finance, Economics or related majors;Experience in credit research and/or portfolio management;Strong understanding of portfolio construction and risk management;Fluent in English, Cantonese, and Mandarin
    about the company.This company focuses on legal and financial, real estate activities. about the job.Focusing on asset management portfolio, mixture of bonds and commodities;Monitor the overall portfolio allocation, rebalancing and performance;Review portfolio risk exposure and develop tools for portfolio risk modelling;Serve as strategic advisor on investment portfolios, drive the portfolioconstruction and asset allocation activities and develop portfolio constructionviews to Investment Committeeskills & experiences required.5 - 10 years of fixed income and portfolio management experience;Proficiency in Excel and Bloomberg;Bachelor degree or above, preferably in Accounting, Finance, Economics or related majors;Experience in credit research and/or portfolio management;Strong understanding of portfolio construction and risk management;Fluent in English, Cantonese, and Mandarin
    • permanent
    • HK$40,000 - HK$45,000 per month
    • full-time
    about the company.Our client is a reputable financial advisor with business in insurance brokerage, asset management, investment advisory, management consulting and technology solution etc. We are currently looking for an Assistant Manager to join their Regulatory Compliance team. about the team.You will be joining a team of 10+. Young and energetic team culture. about the job.Provide advice to business units on compliance-related mattersLiaise with Insurance Authorities on licensing, on-site inspection, ad hoc enquiries/clarifications etc Modify and update company policies and procedures to ensure compliance with latest regulationsHandle day-to-day regulatory matters with the team Assist in ad hoc projects skills & experiences required.Bachelor's degree in Law, Accounting, Business or relevant disciplinesA minimum of 3 years compliance experience, of which 1 year in Insurance/Insurance Brokerage company Experience in dealing with Insurance Authority is a must Good command in spoken and written Chinese and English
    about the company.Our client is a reputable financial advisor with business in insurance brokerage, asset management, investment advisory, management consulting and technology solution etc. We are currently looking for an Assistant Manager to join their Regulatory Compliance team. about the team.You will be joining a team of 10+. Young and energetic team culture. about the job.Provide advice to business units on compliance-related mattersLiaise with Insurance Authorities on licensing, on-site inspection, ad hoc enquiries/clarifications etc Modify and update company policies and procedures to ensure compliance with latest regulationsHandle day-to-day regulatory matters with the team Assist in ad hoc projects skills & experiences required.Bachelor's degree in Law, Accounting, Business or relevant disciplinesA minimum of 3 years compliance experience, of which 1 year in Insurance/Insurance Brokerage company Experience in dealing with Insurance Authority is a must Good command in spoken and written Chinese and English
    • permanent
    • full-time
    about the company.The company is a financial institution licensed with the Hong Kong Securities and Futures Commission to carry out regulated activities including dealing in securities (Type 1), advising on securities (type 4) & asset management (type 9) and is also approved by China Securities Regulatory Commission as a Qualified Foreign Institutional Investor (QFII). The company obtained the Exchange Participant of the Hong Kong Stock Exchange and officially launched its regulated business in February 2019. One of the Shareholders of this Company is Zhenjiang State-owned Investment Holding Group Co., Ltd. ("the Group"). As of the end of 2019, the Group total assets were RMB 58 billion, net assets were RMB 24.5 billion, and consolidated operating income exceeded RMB 10 billion.about the team.The company has a talented and capable team that has become the strongest service team for the company's operations. It is also good at understanding customer needs and tailormade services for the interests of customers.about the job.Contributes to portfolio management decisions by monitoring the economic and market environment and conducing the fundamental credit analysis;Serve as strategic advisor on investment portfolios, drive the portfolio construction and asset allocation activities and develop portfolio construction views to Investment Committee;Oversees implementation of investment strategy and is active in all activities of portfolio management; Produce investment strategy presentations and documents;Monitor the overall portfolio allocation, rebalancing and performance;Review portfolio risk exposure and develop tools for portfolio risk modelling.skills & experiences required.Bachelor degree or above, preferably in Accounting, Finance, Economics or related majors;Experience in credit research and/or portfolio management; Strong understanding of portfolio construction and risk management;Holder of SFC Type 1, 4 & 9 License is preferred; CFA is a plus;Proficiency in Excel and Bloomberg; Programming skills in SQL/Python are pluses.Fluent in English and Mandarin;Excellent communication and analytical skills.
    about the company.The company is a financial institution licensed with the Hong Kong Securities and Futures Commission to carry out regulated activities including dealing in securities (Type 1), advising on securities (type 4) & asset management (type 9) and is also approved by China Securities Regulatory Commission as a Qualified Foreign Institutional Investor (QFII). The company obtained the Exchange Participant of the Hong Kong Stock Exchange and officially launched its regulated business in February 2019. One of the Shareholders of this Company is Zhenjiang State-owned Investment Holding Group Co., Ltd. ("the Group"). As of the end of 2019, the Group total assets were RMB 58 billion, net assets were RMB 24.5 billion, and consolidated operating income exceeded RMB 10 billion.about the team.The company has a talented and capable team that has become the strongest service team for the company's operations. It is also good at understanding customer needs and tailormade services for the interests of customers.about the job.Contributes to portfolio management decisions by monitoring the economic and market environment and conducing the fundamental credit analysis;Serve as strategic advisor on investment portfolios, drive the portfolio construction and asset allocation activities and develop portfolio construction views to Investment Committee;Oversees implementation of investment strategy and is active in all activities of portfolio management; Produce investment strategy presentations and documents;Monitor the overall portfolio allocation, rebalancing and performance;Review portfolio risk exposure and develop tools for portfolio risk modelling.skills & experiences required.Bachelor degree or above, preferably in Accounting, Finance, Economics or related majors;Experience in credit research and/or portfolio management; Strong understanding of portfolio construction and risk management;Holder of SFC Type 1, 4 & 9 License is preferred; CFA is a plus;Proficiency in Excel and Bloomberg; Programming skills in SQL/Python are pluses.Fluent in English and Mandarin;Excellent communication and analytical skills.
    • permanent
    • full-time
    about the company.The company is a financial institution licensed with the Hong Kong Securities and Futures Commission to carry out regulated activities including dealing in securities (Type 1), advising on securities (type 4) & asset management (type 9) and is also approved by China Securities Regulatory Commission as a Qualified Foreign Institutional Investor (QFII). The company obtained the Exchange Participant of the Hong Kong Stock Exchange and officially launched its regulated business in February 2019. One of the Shareholders of this Company is Zhenjiang State-owned Investment Holding Group Co., Ltd. ("the Group"). As of the end of 2019, the Group total assets were RMB 58 billion, net assets were RMB 24.5 billion, and consolidated operating income exceeded RMB 10 billion. about the team.The company has a talented and capable team that has become the strongest service team for the company's operations. It is also good at understanding customer needs and tailormade services for the interests of customers. about the job.Contributes to portfolio management decisions by monitoring the economic andmarket environment and conducing the fundamental credit analysis;Serve as strategic advisor on investment portfolios, drive the portfolioconstruction and asset allocation activities and develop portfolio constructionviews to Investment Committee;Oversees implementation of investment strategy and is active in all activities ofportfolio management; Produce investment strategy presentations and documents;Monitor the overall portfolio allocation, rebalancing and performance;Review portfolio risk exposure and develop tools for portfolio risk modelling.skills & experiences required.Bachelor degree or above, preferably in Accounting, Finance, Economics orrelated majors;Experience in credit research and/or portfolio management; Strongunderstanding of portfolio construction and risk management;Holder of SFC Type 1, 4 & 9 License is preferred; CFA is a plus;Proficiency in Excel and Bloomberg; Programming skills in SQL/Python arepluses.Fluent in English and Mandarin;Excellent communication and analytical skills.
    about the company.The company is a financial institution licensed with the Hong Kong Securities and Futures Commission to carry out regulated activities including dealing in securities (Type 1), advising on securities (type 4) & asset management (type 9) and is also approved by China Securities Regulatory Commission as a Qualified Foreign Institutional Investor (QFII). The company obtained the Exchange Participant of the Hong Kong Stock Exchange and officially launched its regulated business in February 2019. One of the Shareholders of this Company is Zhenjiang State-owned Investment Holding Group Co., Ltd. ("the Group"). As of the end of 2019, the Group total assets were RMB 58 billion, net assets were RMB 24.5 billion, and consolidated operating income exceeded RMB 10 billion. about the team.The company has a talented and capable team that has become the strongest service team for the company's operations. It is also good at understanding customer needs and tailormade services for the interests of customers. about the job.Contributes to portfolio management decisions by monitoring the economic andmarket environment and conducing the fundamental credit analysis;Serve as strategic advisor on investment portfolios, drive the portfolioconstruction and asset allocation activities and develop portfolio constructionviews to Investment Committee;Oversees implementation of investment strategy and is active in all activities ofportfolio management; Produce investment strategy presentations and documents;Monitor the overall portfolio allocation, rebalancing and performance;Review portfolio risk exposure and develop tools for portfolio risk modelling.skills & experiences required.Bachelor degree or above, preferably in Accounting, Finance, Economics orrelated majors;Experience in credit research and/or portfolio management; Strongunderstanding of portfolio construction and risk management;Holder of SFC Type 1, 4 & 9 License is preferred; CFA is a plus;Proficiency in Excel and Bloomberg; Programming skills in SQL/Python arepluses.Fluent in English and Mandarin;Excellent communication and analytical skills.

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