*Reputable Asset Management Firm*
Fund Manager will be looking after Saudi existing equities and will be working with a team of experienced professionals and reporting to the senior management.
The successful candidate should demonstrate the following:
- Master's degree. CFA or FRM holder is preferred. Additionally, having CME 1, CME 4 would be an added advantage.
- Experience in asset management in GCC.
- Track record in portfolio management, with a focus on managing GCC/ Saudi Equities
- Strong analytical background with a deep understanding of GCC Equities market; able to analyse investment opportunities highlighting key risks and build a Saudi equity portfolio.
- Experience in trade placement, monitoring and reconciliation for portfolios/funds.
- Excellent understanding of various equity valuation methodologies and equity investment strategies
- Excellent communication skills in English are essential, Arabic is a plus
- Expert knowledge of MS Office and Bloomberg.