Our client is an international asset management firm an unparalleled reputation across the Asia Pacific region. With the continued growth of the organization, the need has arisen to recruit a high caliber candidate to join them.
Responsible for product launch & change proposals including the build-out of the business case, financial projection, investment policy statement, competitive landscape, etc. Manage and timely implement new fund/ share class launch projects of mutual funds and MPF. Work with investment team, compliance, finance and distribution to refine product features. Own and coordinate updates to fund documentation for changing of fund modifications. Manage HK domiciled funds including updates for regulatory change and other enhancement. Maintain the underlying funds investment record and status. Maintain the risk disclosure box to compile with SFC regulation. Conduct regular checking of the product information to ensure its accuracy in the distribution channel. Product Governance, contribute to the governance and monitoring of fund dividend distribution. Product risk ratings, assess fund risk ratings for new funds. Conduct regular review of fund risk ratings. Conduct ad hoc review and approval of fund risk ratings due to unforeseen market circumstances. Ensure the approved fund risk ratings determination process is followed. Assist to update the fund risk modelling with external service providers. Product Registration and Regulatory Filing, prepare documents to support regulatory filings and disclosure. Work with external service providers on the production of product documentation. Dissemination of product documentation to business channels and internal stakeholders. Relationship Management, work closely with and maintain strong relationships with the business channels. Provide ongoing support to Asian businesses ensuring there is a constant communication of information and advice on product-related matters.
To be considered, you will be a university graduate with a minimum of 6 years’ relevant experience in product development or product management in Asset Management. Sound knowledge of asset management industry and understanding of local regulatory requirement. Good analytical skills with proven ability to contribute to mutual fund related analysis. Strong interpersonal and communication skills to deal with various internal and external parties. Fluent in English and Chinese.
Interested applicants should send a detailed resume to Michelle Ho by email to firstname.lastname@example.org quoting reference eFC3246.
(Applicants not contacted within 4 weeks should consider their application unsuccessful.)