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Secondary Portfolio Manager At ARM Life

Date Posted: 06/Dec/2018
Deadline: 21/Dec/2018

ARM Life 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 management of quoted equities and fixed income securities.

Secondary Portfolio Manager

Job Summary

  • The primary job function will entail supporting primary portfolio managers to manage assigned portfolios in line with their investment policies and relevant regulatory frameworks
  • The Secondary Portfolio Manager will rely on research output from internal and external analysts to develop actionable investment ideas
  • This may involve performing fundamental analysis and building proprietary models and so on
  • He/She will be assigned portfolios to manage in a secondary capacity wherein they will make investment recommendations to the PPM for approval as well as effectively maintaining administrative oversight for the portfolios.

Principal Duties and Responsibilities

  • Provide in-depth fundamental/technical research and make relevant investment recommendations.
  • Actively participate during market trading hours seeking profitable opportunities and achieving best execution for agreed investment actions.
  • Ensure error free portfolio administration as well as regular/timely documentation of transactions.
  • Preparing and making regular presentations on the economy, industry trends, portfolio performance and market outlook to Executive Management, Investment Management Committee, Board of Trustees, General Staff etc. 
  • Develop policy portfolios taking into account relevant constraints and market themes that will result in funds under management meeting their long-term investment objectives.
  • Ensure portfolio compliance with stipulated guidelines and regulations
  • Always ensure the report requirements to regulators and other stakeholders are timely.
  • Working closely and supporting business development team on client relationships and achieving business strategic objectives.

Education Qualification

  • Minimum of B.Sc/M.Sc qualification

Other Requirements

  • The candidate should have excellent modeling, writing, presentation, communication and interpersonal skills. Proficiency in the use of Bloomberg will be an added advantage.
  • Knowledge of the local and global financial service industry dynamics including regulations, legislation and operating environment.
  • Understanding of non-bank financial service operations, policies and procedures.
  • Experience with automated financial systems, including a general ledger and financial reporting software (Bloomberg, Reuters, Hi-port etc.).

Method of Application

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