Type: Full-Time
Experience Level: Mid-level
About Us:
InvesCore Asset Management is one of the top asset management firms operating in Central Asia. We are renowned for our innovative impact investment fund and our first local ETF fund, which are the first of their kind in the local market. We offer comprehensive investment solutions across various asset classes to our clients and take pride in our analytical rigor, market insights, and commitment to sustainable investing. We're currently seeking a talented Investment Manager with a strong background in investment analysis and portfolio management to join our team.
Role Overview:
As an Investment Manager, you will play a pivotal role in managing client portfolios, developing and implementing investment strategies, and contributing to our research and analysis efforts. This position is ideal for a proactive and analytical professional with a solid understanding of financial markets and a track record of success in investment management.
Key Responsibilities:
- Develop and execute investment strategies to achieve targeted portfolio performance.
- Conduct comprehensive research and analysis of financial markets, economic indicators, and investment opportunities.
- Collaborate with a team of analysts to monitor portfolio positions and adjust strategies as market conditions change.
- Maintain direct communication with clients, providing updates and insights regarding their investment portfolios.
- Ensure adherence to regulatory standards and compliance with all firm policies.
- Participate in the continuous improvement of investment processes and strategies.
- Engage in professional development opportunities to stay abreast of industry trends and best practices.
Qualifications:
- Bachelor's degree in Finance, Economics, or a related field; a Master's degree is a plus.
- Completion or partial completion of the CFA program is highly regarded.
- Minimum of 2-year experience in sell-side, investment banking, or corporate finance. Prior success managing investment portfolios is desired.
- Strong analytical skills and a deep understanding of financial markets, investment strategies, and risk management principles.
- Effective leadership qualities and experience in a collaborative team environment.
- Demonstrated ability to work collaboratively in a team environment and manage multiple projects simultaneously.
- Excellent communication skills, capable of articulating complex investment concepts to a diverse audience.
- Proficiency in financial databases and software (e.g., Excel, Power BI, FactSet).
- Passion for financial markets and a keen interest in ongoing learning and development
Opportunity for Advancement:
Based on the candidate's qualifications and performance, there is a potential pathway to promotion to a Portfolio Manager position—a senior role within our firm. This opportunity reflects our commitment to recognizing talent and fostering professional growth.
What We Offer:
- Competitive salary and performance-based bonuses.
- Comprehensive benefits package including health insurance, employee savings plan, and paid time off.
- Opportunities for professional growth and career advancement.
- A collaborative and supportive work environment where your contributions are valued and recognized.
- Access to training and development resources to enhance your skills and knowledge.
How to Apply:
Please submit your resume and cover letter here or email to info@ic-invest.mn. In your cover letter, highlight your relevant experience, why you are interested in this role, and what makes you a unique fit for our team.