757 Senior Investment Portfolio Manager jobs in Kenya
Senior Financial Analyst - Investment Portfolio Management
Posted 17 days ago
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Key Responsibilities:
- Conduct comprehensive financial analysis of investment opportunities, including equity, fixed income, and alternative assets.
- Develop and maintain sophisticated financial models to forecast financial performance and assess investment risks.
- Evaluate market trends, economic indicators, and industry developments impacting investment portfolios.
- Prepare detailed investment research reports and present findings and recommendations to senior management and investment committees.
- Monitor the performance of existing investments and identify areas for improvement or divestment.
- Analyze portfolio risk exposure and implement hedging strategies as necessary.
- Collaborate with portfolio managers to develop and execute investment strategies.
- Ensure compliance with all relevant financial regulations and internal policies.
- Assist in the preparation of financial statements and regulatory filings.
- Stay abreast of new financial products, investment vehicles, and market best practices.
- Build and maintain strong relationships with external research providers and industry contacts.
- Support ad-hoc financial analysis and projects as required by the business.
- Contribute to the development and refinement of investment management processes.
- Utilize financial databases and analytical tools effectively.
- Provide guidance and mentorship to junior analysts within the team.
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field. Master's degree or CFA charter strongly preferred.
- Minimum of 5 years of progressive experience in financial analysis, investment management, or a related role.
- Proven expertise in financial modeling, valuation techniques, and portfolio analysis.
- Strong understanding of financial markets, investment instruments, and risk management principles.
- Proficiency in financial analysis software (e.g., Bloomberg Terminal, FactSet, Refinitiv Eikon).
- Advanced skills in Microsoft Excel, including VBA programming, is highly desirable.
- Excellent analytical, quantitative, and problem-solving skills.
- Strong written and verbal communication skills, with the ability to present complex financial data clearly and concisely.
- Ability to work effectively in a hybrid environment, managing time efficiently between remote and office work.
- High attention to detail and accuracy.
- Demonstrated ability to work independently and collaboratively in a team setting.
- Experience with regulatory compliance in the financial sector is an asset.
Remote Financial Analyst - Investment Portfolio Management
Posted 20 days ago
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Job Description
Key responsibilities include analyzing financial statements, market trends, and economic data to identify investment opportunities and risks. You will develop financial models, forecast future financial performance, and prepare comprehensive reports and presentations for senior management. Your role will involve evaluating the performance of existing investments, recommending adjustments to portfolio allocations, and monitoring market developments. A deep understanding of financial instruments, investment vehicles, and risk management principles is essential.
The ideal candidate will possess a Bachelor's or Master's degree in Finance, Economics, Accounting, or a related field, along with relevant professional certifications such as CFA or CPA. Proven experience in financial analysis, investment research, or portfolio management is required. Strong quantitative and analytical skills, coupled with excellent proficiency in financial modeling software (e.g., Excel, Bloomberg Terminal) and data analysis tools, are crucial. Exceptional communication and presentation skills are necessary to convey complex financial information clearly and concisely. This is a fully remote position, supporting clients and operations related to the financial services sector in Meru, Meru, KE and its environs. If you are a results-oriented financial professional looking for a challenging remote opportunity to contribute to sophisticated investment strategies, we encourage you to apply.
Lead Remote Investment Portfolio Manager (Banking & Finance)
Posted 15 days ago
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Job Description
Key Responsibilities:
- Develop, implement, and manage sophisticated investment strategies aligned with client objectives and market conditions.
- Conduct thorough fundamental and technical analysis of securities, industries, and macroeconomic trends.
- Construct and rebalance investment portfolios to achieve target returns while managing risk tolerance.
- Monitor portfolio performance, identify deviations, and implement corrective actions.
- Research and recommend investment opportunities across various asset classes, including equities, fixed income, and alternative investments.
- Manage client relationships, provide regular performance updates, and articulate investment rationale.
- Ensure compliance with all relevant financial regulations and internal policies.
- Collaborate with research analysts, traders, and other financial professionals in a remote setting.
- Utilize advanced financial modeling and analytical tools to support investment decisions.
- Stay informed about global financial markets, geopolitical events, and regulatory changes.
Qualifications:
- Master's degree in Finance, Economics, Business Administration, or a related quantitative field.
- Minimum of 10 years of progressive experience in investment management, portfolio management, or financial analysis.
- Professional certifications such as CFA (Chartered Financial Analyst) are highly preferred.
- Proven track record of successfully managing investment portfolios and achieving superior risk-adjusted returns.
- Deep understanding of financial markets, investment strategies, and asset allocation principles.
- Expertise in financial modeling, valuation techniques, and risk management.
- Proficiency with financial data platforms (e.g., Bloomberg Terminal, Refinitiv Eikon) and portfolio management software.
- Exceptional analytical, quantitative, and problem-solving skills.
- Outstanding communication, presentation, and interpersonal skills, with the ability to build trust remotely.
- Ability to work independently, manage time effectively, and make sound decisions under pressure.
Lead Investment Portfolio Manager
Posted 20 days ago
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The ideal candidate will possess a Master's degree in Finance, Economics, or a related field, along with a CFA charter or equivalent advanced certification. A minimum of 8 years of progressive experience in investment management, with a strong track record of successful portfolio performance, is essential. Deep knowledge of financial markets, investment vehicles, and portfolio management techniques is required. Exceptional analytical, quantitative, and decision-making skills are paramount. You must possess strong leadership qualities and the ability to mentor and develop a team. Excellent communication and presentation skills are necessary for effectively conveying investment strategies and performance to clients and stakeholders. As this is a fully remote role, you must demonstrate exceptional self-discipline, organizational skills, and the ability to manage your workload independently and efficiently, contributing to our client's strategic financial goals across regions, including those relevant to Ongata Rongai, Kajiado, KE . We offer a competitive remuneration package, performance-based bonuses, and significant opportunities for professional advancement in a dynamic, remote work environment.
Investment Portfolio Manager - Emerging Markets
Posted 15 days ago
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Job Description
Key Responsibilities:
- Develop and implement comprehensive investment strategies tailored to emerging markets.
- Conduct thorough fundamental and technical analysis of financial markets and securities.
- Manage and rebalance investment portfolios to meet client objectives and risk tolerances.
- Identify, evaluate, and select investment opportunities across various asset classes.
- Monitor portfolio performance, risk exposure, and market developments.
- Prepare detailed investment reports and presentations for clients and senior management.
- Engage with clients to understand their financial goals and provide expert advice.
- Collaborate with research analysts and traders to leverage market insights.
- Ensure compliance with all relevant financial regulations and company policies.
- Stay updated on macroeconomic trends, geopolitical events, and their impact on emerging markets.
- Master's degree in Finance, Economics, Business Administration, or a related field.
- Minimum of 8 years of experience in investment management, portfolio management, or financial analysis.
- Proven experience managing portfolios with a significant allocation to emerging markets.
- Strong understanding of various financial instruments, including equities, fixed income, and derivatives.
- Excellent analytical, quantitative, and problem-solving skills.
- Professional certifications such as CFA (Chartered Financial Analyst) are highly preferred.
- Exceptional communication, presentation, and interpersonal skills.
- Ability to work effectively under pressure and meet tight deadlines.
- Proficiency in financial modeling and portfolio management software.
- Demonstrated ability to build and maintain strong client relationships.
Senior Investment Portfolio Manager
Posted 3 days ago
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Job Description
Key Responsibilities:
- Develop and implement comprehensive investment strategies tailored to meet specific client objectives, risk tolerance, and time horizons.
- Manage and monitor investment portfolios, including equities, fixed income, alternative investments, and other asset classes.
- Conduct in-depth market research, economic analysis, and security valuation to identify investment opportunities.
- Analyze portfolio performance, benchmark against relevant indices, and provide detailed performance reports to clients and management.
- Make buy/sell decisions for portfolio assets based on thorough research and market outlook.
- Manage asset allocation and rebalancing of portfolios to optimize risk-adjusted returns.
- Build and maintain strong relationships with clients, providing regular updates, insights, and financial advice.
- Collaborate with sales and marketing teams to attract new clients and retain existing ones.
- Ensure compliance with all regulatory requirements, internal policies, and ethical standards.
- Lead and mentor a team of investment analysts and junior portfolio managers.
- Stay abreast of global economic trends, geopolitical events, and regulatory changes impacting financial markets.
- Develop and present investment strategies and market outlooks to client committees and internal investment committees.
- Utilize advanced financial modeling and analytical tools to support investment decisions.
- Contribute to the firm's overall investment philosophy and strategy development.
- Participate in industry conferences and events to represent the firm and stay informed about market developments.
Qualifications:
- Master's degree in Finance, Economics, Business Administration, or a related field. A CFA (Chartered Financial Analyst) designation is highly preferred.
- Minimum of 10 years of progressive experience in investment management, portfolio management, or a related financial services role.
- Proven track record of successfully managing investment portfolios and achieving superior risk-adjusted returns.
- Deep understanding of financial markets, investment vehicles, and portfolio construction principles.
- Exceptional analytical, quantitative, and problem-solving skills.
- Strong leadership, team management, and interpersonal skills.
- Excellent communication, presentation, and client relationship management abilities.
- Proficiency in financial modeling software, Bloomberg Terminal, and other relevant analytical tools.
- Knowledge of Kenyan and international financial regulations.
- Demonstrated ability to make sound investment decisions under pressure.
- High ethical standards and a commitment to fiduciary responsibility.
This position offers a highly competitive salary and bonus structure, along with significant career growth opportunities within a prestigious financial institution.
Investment Portfolio Manager - Remote
Posted 11 days ago
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Remote Lead Investment Portfolio Manager
Posted 2 days ago
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Senior Remote Investment Portfolio Manager
Posted 3 days ago
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Senior Investment Portfolio Manager (Remote)
Posted 14 days ago
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Job Description
Responsibilities:
- Develop and execute investment strategies aligned with client objectives and risk profiles.
- Manage and monitor a portfolio of diverse assets, including equities, bonds, and alternatives.
- Conduct thorough financial analysis, market research, and economic forecasting.
- Perform security selection, asset allocation, and portfolio rebalancing.
- Monitor portfolio performance, conduct attribution analysis, and generate detailed reports.
- Implement robust risk management frameworks and stress testing procedures.
- Stay informed about global economic trends, market developments, and regulatory changes.
- Communicate investment strategies, performance updates, and recommendations to clients and management.
- Ensure compliance with all regulatory requirements and internal policies.
- Utilize financial modeling and analytical tools for decision-making.
- Collaborate with research analysts, traders, and other investment professionals.
- Master's degree in Finance, Economics, or a related quantitative field.
- CFA (Chartered Financial Analyst) designation is highly preferred.
- Minimum of 8 years of progressive experience in investment management, portfolio construction, and financial analysis.
- Proven track record of managing significant assets under management and delivering strong risk-adjusted returns.
- In-depth knowledge of global financial markets, various asset classes, and investment vehicles.
- Strong quantitative, analytical, and problem-solving skills.
- Expertise in financial modeling, valuation techniques, and risk management.
- Excellent written and verbal communication skills, with the ability to present complex information clearly.
- Proficiency with financial software, databases (e.g., Bloomberg, Refinitiv), and portfolio management systems.
- Ability to work independently, manage multiple priorities, and meet deadlines in a remote environment.
- High ethical standards and a commitment to fiduciary duty.