JOB OFFER: FUND MANAGER – Société Générale Cameroun
Career opportunities: FUND MANAGER (1263)
Recruitment request identifier 1263 – Published 06/09/2023 – SGACE/SG CAPITAL CEMAC/ACCOUNTING – SGACE – HEADQUARTERS AGENCY
MAIN MISSION
Société Générale Asset Management is recruiting one (01) Fund Manager whose main mission is the operational management of the investments of all Collective Investment Organizations (UCIs) and, on the other hand, the implementation of the company’s investment strategies and processes.
MAIN ACTIVITIES
Under the responsibility of the Managing Director, the Fund Manager is responsible for:
Contributing to the formulation of the investment guidelines proposed to the Investment Committee
Ensure the implementation of the guidelines validated by the Investment Committee, based on market conditions
Contribute to the design, deployment, and optimization of the company’s investment processes and strategies
Ensure the daily monitoring of the performance and risk profile of the UCIs under management
Ensure the monitoring of the execution of orders by the various brokers
Analyze the economic and financial environment in order to determine market trends, and their possible impact on performance and profile risk of UCIs under management
Propose to the Managing Director adjustments to the strategies validated by the Committee, based on structural and/or cyclical developments in the markets and economies to which the funds are exposed Produce periodic internal and external
reports relating to the management of UCIs
Provide support to the sales teams in the context of prospecting, and the creation of new investment vehicles
PROFESSIONAL SKILLS
Knowledge of the regional financial market environment
Knowledge of financial and stock market analysis
Knowledge of economics
Knowledge of portfolio management
Knowledge of risk management
Knowledge of COSUMAF regulations
Knowledge of statistics
BEHAVIORAL SKILLS
Available
Rigorous
Analytical skills
Open-minded
Spirit of initiative
Curiosity TOOLS
TO MASTER
Knowledge of computer programming (SQL, VBA, R)
Use of UCITS management software
Use of Microsoft Excel, Word and Powerpoint
Use of a market data access terminal (example: Bloomberg terminal)
RESEARCH PROFILE
Level BAC+4/5 in Economics, Finance, Actuarial Science, Financial Mathematics, Business Administration or Management;
Have relevant experience as a Portfolio Manager / Asset Manager within a bank or financial institution, and possibly international certification (such as CFA, FRM, etc.).
Apply ONLY online by clicking on the link opposite:
READ CAREFULLY AND FOLLOW THE INSTRUCTIONS GIVEN ABOVE TO APPLY, AND NEVER SEND MONEY DURING RECRUITMENT.
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