Our client is a leading financial services company. We are hiring two FOF Investment Managers to lead our global fund sourcing and portfolio construction. You will be responsible for identifying "alpha" across global markets and building a robust database of top-tier fund managers in the U.S., Europe, and Asia-Pacific.
Key Responsibilities:
Global Sourcing: Lead due diligence (IDD/ODD) on global fixed income and equity funds, focusing on top-tier external managers.
Quantitative Frameworks: Build and maintain a fund manager database; develop quantitative models (e.g., Black-Litterman) to guide asset allocation.
Portfolio Construction: Design offshore FOF portfolios tailored to specific risk-return profiles and market conditions.
Performance Monitoring: Conduct dynamic rebalancing and daily risk/return tracking; provide thematic research on global macro trends.
Requirements:
Education & Certification: Bachelor’s degree in a quantitative field (Finance/Math/Eng); CFA certification is required.
Experience: 3+ years in global (offshore) FOF asset allocation or investment research.
Technical Skills: Proficiency in asset allocation modeling and data analytics.
Bonus: Existing experience or a strong interest in integrating Web3 asset classes into traditional FOF frameworks.