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Equity Portfolio Manager

EDPS Systems Limited Hong Kong
Posted 1 month ago Permanent HK$80k - HK$120k

Equity Portfolio Manager

EDPS Systems Limited Hong Kong
D
Posted by
Dorothy Fok
Director Recruitment Strategy

A leading asset manager seeks an Equity Portfolio Manager to manage equity investment portfolio, to lead client engagement and business development, as well as to oversee traders and junior analysts on daily tasks.

Responsibilities:

  1. Lead the end-to-end management of equity portfolios (segregated mandates and public funds) across long-only, absolute return, and multi-asset strategies, with full ownership of performance outcomes
  2. Define and execute tactical asset allocation, sector rotation, and stock selection strategies in alignment with the firm’s investment philosophy and risk framework
  3. Generate independent, high-conviction investment ideas through rigorous fundamental research, on-site company visits, and disciplined due diligence processes
  4. Uphold strict adherence to internal policies, client mandates, SFC regulatory standards, and public fund operational requirements
  5. Spearhead the development of client-facing materials, including pitch decks, market commentaries, and product positioning strategies across institutional and retail segments
  6. Act as a key representative of the firm in marketing initiatives, fundraising activities, and product development efforts
  7. Drive fund launch initiatives, including product structuring, fee design, cost analysis, and articulation of investment strategy
  8. Own client communication strategy by delivering timely performance reporting, market updates, and bespoke insights
  9. Direct trading activities and execution oversight to ensure best execution practices and full compliance with dealing policies
  10. Lead, mentor, and develop junior analysts and support staff, instilling a culture of analytical excellence, accountability, and continuous improvement
  11. Strengthen team capabilities in company research, financial modelling, and risk monitoring

Requirements:

  1. Master’s degree or above (relevant disciplines preferred) with full eligibility under SFC requirements for public fund managers
  2. Strong risk management discipline, compliance awareness, and resilience in high-pressure environments
  3. Minimum 8 years of experience in public fund investment and research, with a well-established and independent investment decision-making framework
  4. At least 3 years of robust, publicly verifiable track record, demonstrating consistent performance, disciplined drawdown control, and full auditability with no material risk or compliance breaches
  5. Proven experience managing insurance mandates or absolute return strategies
  6. Hands-on exposure to offshore equity research and cross-border portfolio allocation is highly advantageous
  7. Demonstrated expertise in Macroeconomic analysis and sector allocation, dynamic position sizing and portfolio construction, portfolio rebalancing and performance attribution and investment reporting and communication
  8. Consistent focus on delivering sustainable, risk-adjusted returns and long-term capital growth

Salary:

Salary will be commensurate with qualifications and experience

Application:

Please submit your resume along with your current and expected salary. Personal data collected will be treated confidentially for recruitment purposes. Candidates not invited for an interview within six weeks may consider their applications unsuccessful

Equal Opportunity Employer:

We are an equal opportunity employer and welcome applications from all qualified candidates. Personal data collected will be handled confidentially by authorized personnel for recruitment-related purposes

Address:

Room 1202, 12/F, Harcourt House, 39 Gloucester Road, Wanchai, Hong Kong.

Job ID  JT20260624EPM
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