Recruitment announcement
PORTFOLIO MANAGER
The portfolio manager is responsible for
managing the financial assets of the company’s clients.
stock market. He/she works closely with
clients to understand their financial objectives,
risk tolerance and investment constraints,
in order to develop and implement
personalized investment strategies.
Responsibilities:
Portfolio management: o Build and manage diversified investment
portfolios for a clientele of individuals and/or institutions. o Select appropriate financial instruments (stocks, bonds, derivatives, etc.) based on clients’ objectives and constraints. o Actively monitor portfolio performance , analyze risks and make necessary adjustments. o Rebalance portfolios based on market developments and client needs.
o Generate performance reports and present them to clients. Client relationship: o Develop and maintain strong client relationships . o Understand each client’s needs, objectives and risk tolerance. o Provide personalized and informed investment advice . o Communicate regularly with clients on their portfolio performance and investment strategies . o Respond to client inquiries and keep clients informed of important market developments . Analysis and Research: o Conduct in-depth research on financial markets, industries , and companies. o Identify potential investment opportunities and assess associated risks. o Monitor market trends and economic and financial news. o Use financial analysis tools and models to evaluate securities and make informed investment decisions. Compliance and Regulation: o Ensure that all investment activities comply with applicable laws, regulations, and policies. o Adhere to the highest ethical standards and act in the best interest of clients. Qualifications: Education: University degree in finance, economics, business management, or a related field. An MBA or professional certification such as the CFA (Chartered
Financial Analyst) is a strong asset.
Experience: Significant experience in
portfolio management, financial analysis or
investment research.
In-depth knowledge of financial markets
and investment instruments
is essential.
Key Skills:
Investment Expertise:
In-depth knowledge of financial theories,
investment strategies and different
types of assets.
Analytical Skills: Ability to analyze
financial data, assess risks and
make
informed investment decisions.
Communication Skills: Excellent
oral and written communication skills
to interact effectively with clients,
colleagues and other stakeholders.
Client Focus: Ability to understand client needs and provide them with personalized and quality
service . Risk Management: Ability to identify, assess and manage risks associated with investments. Organizational and Time Management Skills: Ability to effectively manage multiple portfolios and meet deadlines. Ethics and Integrity: Adherence to the highest ethical standards and commitment to professional integrity. Work Environment: Demanding and challenging position, with long hours and high stress levels, particularly during periods of market volatility. The environment is dynamic and competitive. Career Opportunities: Successful portfolio managers may progress to senior positions, such as Chief Investment Officer or Chief Strategy Officer
HOW TO APPLY?
Submission conditions
All candidates must send their CV and cover letter to the following address: info@afrilandbourse.com
Subject: Portfolio Manager
Deadline for receipt of applications: February 17, 2024.
Afriland Bourse & Investissement SA, stockbroking company with capital of F.CFA 300,000,000 Head office Yaoundé-Cameroon, opposite the Fustel high school, BP 11834, RC: RC/YAO/2019/B/640; No. COSUMAF MFAC-SDB-01/2019, E-mail: info@afrilandbourse.com
NOTE: SCAMMERS ARE MORE AND MORE SMART! Never send money to a stranger during a recruitment process for any reason! And If ever you should, please do so at your OWN RISK! OR CONTACT US TO VERIFY FREE OF CHARGE FOR YOU.
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