Responsibilities:
Manage securities accounts and funds, monitor investment risks and investment restrictions in the asset classes stocks, bonds and their derivatives primarily
Implementation of investment decisions by the investment committee and the investment committee
Active participation in the investment committee and the general investment strategy alongside other experts in the organisation
Expert communication of investment decisions internally and externally
Creation of individual reports, fact sheets and investment proposals
Requirements:
- Minimum 5-8 years of experience as a portfolio manager or analysis
- Bank training with corresponding training (AZEK, CFA)
- Multi-asset class experience with particular focus on equities and bonds
- Strong IT knowledge
- In-depth understanding of capital markets and investment instruments
- Strong attention to detail and quality awareness with a result-oriented way of working
- Team player
- Good communication skills
- Native / Fluent German and very strong understanding of English
Package:
- Competitive compensation
- Additional benefits
- Attractive employment conditions with a modern infrastructure at our main and largest office in Germany
- Freedom for your own ideas and a dynamic, professional work environment
- Attractive career development opportunities