
Director, Equity Portfolio Manager, Private Bank
1 week ago
Our client is a leading International Private Bank seeking a seasoned Equity Portfolio Manager to join their Asia team, based in Singapore.
Reporting to the Head of Portfolio Management Asia, the successful candidate will lead the bank's global equities strategies, manage discretionary equity portfolios, and contribute to the development of the equities franchise across the region. This Director-level position offers a platform to work closely with UHNW clients, RMs, and the global CIO office, driving equity solutions tailored to sophisticated client needs.
Key Responsibilities:
- Lead the management of discretionary and advisory equity portfolios across global markets, ensuring portfolios reflect client objectives and align with house views.
- Design and implement bespoke equity strategies, incorporating both developed and emerging markets exposure.
- Conduct in-depth fundamental equity research, generating investment ideas and actionable strategies.
- Collaborate with Relationship Managers, Investment Advisors, and the global portfolio management team to deliver tailored equity solutions for UHNW clients.
- Represent the bank's equity investment expertise in client meetings, roadshows, and marketing initiatives, enhancing brand visibility in Asia.
- Produce high-quality equity strategy reports, investment proposals, and client-facing materials.
- Monitor equity portfolio risk, performance, and adherence to compliance and regulatory standards.
Requirements:
- Bachelor's or Master's degree from a recognized university, ideally in finance, economics, business, or related fields.
- 15+ years of relevant experience in global equity portfolio management, preferably within a private bank, asset manager, or leading investment institution.
- Demonstrated track record of managing global equity portfolios and delivering strong, risk-adjusted performance.
- Proven experience advising and engaging UHNW clients, with the ability to translate complex equity strategies into clear, actionable recommendations.
- Deep understanding of global equity markets, sectors, and investment instruments, with expertise in portfolio construction and risk management.
- Strong communication and presentation skills; capable of engaging both internal stakeholders and external clients.
- Proficient in Bloomberg, Factset, and MS Office; experience with portfolio management systems is an advantage.
- Fluent in English; Mandarin proficiency is highly desirable to support North Asian clients.
EA No 23S1936
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