Portfolio Manager in the Investment Office
University of Hong Kong
- Department
- Investment Office (61300)
- Rank
- Non-Academic
- Position type
- Full-time
- Reference
- 534774
- Application deadline
- 17 Apr 2026
Duties & Responsibilities
- Identify, evaluate, and select investment managers across equities, fixed income, and alternative assets.
- Conduct detailed due diligence on prospective managers and ensure alignment with long-term objectives.
- Maintain relationships with existing managers through performance reviews and strategy monitoring.
- Contribute to investment team deliberations and portfolio strategy discussions.
- Monitor market trends, macroeconomic developments, and industry best practices.
- Provide regular performance analyses and updates to the Investment Committee and stakeholders.
- Prepare high-quality reports and presentations on portfolio performance and investment opportunities.
- Partner with investment operations to execute trades, subscriptions, and redemptions.
- Develop and enhance due diligence frameworks, workflows, and reporting tools.
Requirements & Qualifications
- Bachelor's degree in finance, economics, business, or related field required.
- MBA or CFA designation preferred.
- At least 10 years of relevant investment experience with public market exposure.
- Deep knowledge of equities, fixed income, and hedge fund strategies.
- Proven expertise in due diligence and manager performance evaluation.
- Strong analytical and financial modelling skills.
- Excellent interpersonal and communication skills.
- Familiarity with portfolio construction, risk management, and compliance.
- Fluent in English with excellent writing and presentation skills.
- Self-motivated team player capable of multitasking and independent work.
Appointment
- Full-time
Key Dates
- Not specified