Asset Management - Kuala Lumpur, Malaysia - BNP Paribas
Description
ROLE DESCRIPTION AND PURPOSE
To conduct bottom-up research on ASEAN equities and provide timely recommendations that will help positively to out-perform of portfolios invested.
KEY RESPONSIBILITIES
Bottom-up company analysis: to conduct bottom-up research on companies in the investible universe and provide recommendations to Buy, Hold or Sell.
Maintaining equity universe database:
to update stock recommendations in the database on a timely manner for audit purpose
Portfolio management:
to implement / manage ASEAN equities funds regarding investment decisions and strategy and in compliance with the investment guidelines
Compliance:
to make sure the portfolios are compliant with legal, statutory, client and internal guidelines
Backup support:
to assist in preparation of investment committee reports or month end reports to the marketing team where relevant
ROLE REQUIREMENTS
Strong financial analysis skills
Ability to communicate effectively to both clients and the team on portfolio recommendations or stock ideas
At least 5 years' experience in equity fundamental analysis and/or macro analysis
Self-starter, strong team player, inquisitive and attention to detail
Degree in Economics/Finance/Maths/Engineering
PRIMARY LOCATION
MY-14-Kuala Lumpur
JOB TYPE
Standard / Permanent
JOB
FINANCIAL AND TECHNICAL EXPERTISE
EDUCATION LEVEL
Bachelor Degree or equivalent (>= 3 years)
EXPERIENCE LEVEL
At least 5 years
SCHEDULE
Full-time
REFERENCE
IC 000134
APPLY
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REF:
IC *****(OPENS IN A NEW TAB)
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