Job offer
Portfolio Manager
As a Portfolio Manager (m/f/d) at Julius Baer, you will be responsible for developing and implementing investment strategies for client portfolios to take into account their investment objectives, risk tolerance and time horizon. You will analyze and manage portfolios to make optimal investment decisions and minimize risk.
Job description
Portfolio Manager 100% (m/f/d)Tasks
- Develop and implement investment strategies for assigned portfolios to ensure they align with clients' investment objectives, risk tolerance and time horizon
- Constructing and managing investment portfolios to ensure optimal asset allocation, taking into account factors such as market conditions, economic trends and client objectives
- Regularly review and analyze portfolio performance, provide detailed reports to clients and internal stakeholders
- Monitoring and analyzing market trends, economic conditions and securities performance
- Updating market developments, economic trends and regulatory changes, applying this knowledge to inform investment decisions
- Selection of individual securities (e.g. shares, bonds, ETFs) that meet defined criteria and are in line with the overall investment strategy
- Communicate effectively with clients, relationship managers and other stakeholders to explain investment issues, address concerns and make recommendations
- Identification, assessment and mitigation of potential risks associated with each portfolio, including market, credit, liquidity and operational risks
- Ensuring compliance with all relevant laws, regulations and company guidelines
- Work closely with other departments such as Risk Management, Trading and Client Services to ensure smooth execution of investment strategies
Requirements
- Excellent analytical and problem solving skills, with the ability to interpret complex financial data
- Ability to work effectively in a fast-paced environment, prioritize multiple tasks and meet deadlines
- Self-motivated and proactive, with a passion for financial markets and investing
- Flexible and adaptable, with excellent communication and interpersonal skills, with the ability to build strong relationships with clients and colleagues
- Strong sense of responsibility, reliability and team orientation
- Strong knowledge of financial markets, instruments and regulations
- Successful experience in achieving investment objectives and risk management
- Familiarity with financial software and systems
We offer
No explicit benefits mentioned.Job details