Job ref no.: CT3114630-01#8952

Portfolio Manager, Insurance Company

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Leading insurance company is looking for a Portfolio Manager to assist the Chief Investments Officer to optimize risk adjusted return within risk limits and capital requirements; work with Asset Liability Mgt to develop strategic asset allocation; recommend tactical asset allocation strategies and implement; manage portfolio asset allocation; search new asset classes; coordinate, monitor and manage outsourced mandates; ensure sound compliance and controls.

Major responsibilities include asset liabilities management, internal portfolio management, external manager selection and management, investment governance and compliance, business support, and management accountabilities.


  • Bachelor degree in business, economics and finance. MBA or equivalence an advantage
  • Chartered Financial Analyst or equivalent experience
  • 8+ years of asset-liability management as well as investment experience, including at least 4 years of actual investment experience; tactical asset allocation or/and equity investment experience is a plus
  • Previous experience on interacting with asset class managers, the Business Group liability teams, and corporate functions such as legal, tax, accounting and regulatory would be a plus.
  • Exposure to international capital markets (esp. US, HK and China markets) and different asset classes (i.e. equities, public bonds, private debts, mortgages, real estate, and derivatives).

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More job information
Job ref no. CT3114630-01#8952
  • N/A
Job Function
  • 8 years - 13 years
Career Level
  • Non-management level
  • Degree