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  • Posted: May 20, 2022
    Deadline: Not specified
  • ARM Life formerly CrystaLife Assurance Plc. is the insurance subsidiary of Asset & Resource Management Company Ltd (ARM). Its parent company, ARM is one of the largest non-bank financial services firms in Nigeria with a focus on asset management. Established in 1994, ARM started operations as a traditional asset management company specialising in the ...
    Read more about this company


    Senior Portfolio Manager - Investment Management

    Job Purpose

    • To manage allocated portfolios (Mutual Funds, Institutional portfolios and private clients) in line with the agreed benchmark, risk preference, and generates appropriate risk premium.

    Job Responsibilities

    • Manage Equity and fixed income portfolios, focusing on offshore assets, with the mandate of delivering competitive returns that outperform relevant benchmarks and industry peers
    • Working with the head of Investment Management to develop an appropriate investment strategy.
    • Collaborating with the head of investment and other team members to develop investible products that will increase asset under management
    • Providing support for the relationship managers in their sales and relationship management efforts
    • Providing unparallel service to internal and external Clients
    • Ensuring periodic portfolio reports are prepared timely and meet the set standard
    • Presenting regular reports to Institutional Client
    • Monitor and manage portfolio risk
    • Supervise work of junior colleagues
    • Keep abreast of key industry developments including regulatory charges

    Objectives & Key Results:

    • Portfolio returns outperforming relevant benchmarks and industry peers
    • Portfolio is invested in line with internal policies and agreed on SLAs
    • Keeping portfolio risk within acceptable risk limits
    • Coordinating direct reports and ensuring that clients’ instructions are treated within the agreed TAT.
    • Positive feedback from internal and external clients

    Educational Requirements

    • First Degree in Economics, Finance, Accounting or Engineering
    • Minimum of ten years’ experience in equity, fixed income and macroeconomic research. Past securities selection and portfolio management experience required.

    Knowledge Requirements:

    • Macroeconomic Analysis
    • Financial Modelling
    • Relationship Management
    • Securities Selection

    Skill Requirement:

    • Financial markets analysis
    • Financial modelling
    • Attention to detail (Excellence)
    • Continuous Learning
    • Drive for Results (Efficiency)
    • Customer Focus

    Method of Application

    Interested and qualified? Go to ARM Hold Co. on to apply

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