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Investment Officer
 
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Ad title: Investment Officer
Provided By: BOG Asset Management
Published: 04 May / Deadline: 18 May
As part of the Lion Finance Group BOG Asset Management is committed to delivering high-quality asset management services to investment funds and offering customized financial solutions to clients.

BOG Asset Management strives to help investors achieve their long-term financial goals through prudent investment strategies and a client-centric approach.

Position Overview:

As a Investment Officer at an asset management company, you will support the investment team in research, analysis, and the execution of investment strategies. Working closely with senior team members and reporting to the Director, you will contribute to the day-to-day management of investment portfolios and gain exposure to a broad range of asset classes.

Key Responsibilities:

1. Investment Strategy Support: Assist in the research and development of investment strategies aligned with the company`s goals and risk profile. Monitor economic news, market trends, and regulatory developments to support investment decision-making.
2. Portfolio Support: Help in monitoring existing portfolios and preparing reports on asset allocation, performance, and risk metrics. Assist in the analysis of equities, fixed income instruments, and other investment opportunities.
3. Risk Monitoring: Contribute to identifying and reporting potential investment risks. Support the implementation of risk management policies by tracking risk exposures and preparing regular updates for the team.
4. Compliance Support: Ensure that investment documentation is up to date and aligned with regulatory requirements. Assist in maintaining compliance records and help prepare materials for internal and external audits.
5. Performance Tracking: Gather and analyze data on portfolio and market performance. Help prepare performance reports and presentations for internal use and client meetings.

Qualifications:

** Some relevant experience in investment management, finance, or related field is preferred.
** Basic understanding of financial markets, asset classes, and investment principles.
** Strong analytical and quantitative skills, with attention to detail.
** Effective communication and interpersonal skills.
** Proficient in Excel, PowerPoint, and financial research tools (e.g., Bloomberg, Morningstar).
** Bachelor`s degree in finance, economics, business, or a related field.
** Progress toward a CFA designation or interest in pursuing further professional development is a plus.

Interested candidates please send your CV`s to info@bogam.ge and Join our Team. Deadline is May 18th.
 
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