Portfolio Research Analyst- Global Bank Wealth Mgmt

  • Negotiable
  • Hong Kong
  • Permanent, Full time
  • Chandler Macleod
  • 15 Nov 17 2017-11-15

A global leading bank is looking for a Portfolio Research Analyst to join in their Wealth Management Group in Hong Kong.

  • Front Office Exposure
  • Global Leading Bank
  • Attractive Compensation

Job Responsibilities:

  • To undertake independent and objective analysis on global mutual funds and fund management companies and to assess their vulnerability
  • Preparation both qualitative and quantitative research consistent with the prevailing quality standards on a regular and ad hoc basis
  • Monitor and analyse the key developments in the financial industry and different asset classes including China
  • Maintains Group internal control standards, including timely implementation of internal and external audit points together with any issues raised by external regulators
  • Understand and follow relevant internal and external rules, regulations and procedures that apply to the conduct of the business
  • Exhibit flexibility in supporting the team and extending support wherever required.


  • 1-3 years experience in international wealth management or asset management with relevant accreditation and prior experience to asset management companies, mutual funds, Discretionary Portfolios, Managed Solutions in Asia including China
  • Familiar with regulations and practices in the developing and developed financial markets with in depth knowledge of investment and portfolio management concepts, techniques, strategies, modelling, controls and quantitative analysis
  • University degree qualified, preferably in a finance related or numeric discipline. Qualified CFA, FRM or studying for the equivalent would be desirable
  • Strong data analytics, problem solving and quantitative product skills, with experience working with excel and financial software tools for example, Bloomberg, Morningstar, Factiva, WIND
  • Fluent English and Mandarin is a must