About Us
Bjak is focused on providing access to affordable and sustainable financial services for people in ASEAN. Headquartered in Malaysia, Bjak is the largest insurance portal in Southeast Asia. Our main portal, Bjak.com, helps millions find the insurance policy with the best value and highest coverage for them. Our investments in technology such as Custom API, blockchain, trading systems and data science is to enable easy access to financial services that were previously inaccessible or difficult to understand.
Our core strengths are in navigating the most complex regulations and environments, creating some of the most innovative products in the world. For instance, we are the first platform globally to simplify and offer investment-linked life and health insurance online, coupled with an instant talk-to-agent service.
Position Summary:
We are seeking a highly skilled and driven Investment Portfolio Manager to oversee and optimize investment portfolios by conducting thorough market research, financial modeling, and strategy implementation. This role involves identifying investment opportunities, managing risks, and ensuring portfolio performance aligns with organizational objectives. The ideal candidate will bring experience from equity research, investment banking, hedge funds, private equity, or related fields, coupled with a strong foundation in financial analysis and valuation.
Key Responsibilities:
Portfolio Management:
Research and Analysis:
Relationship Management:
Risk and Compliance:
Innovation and Strategy:
Performance Monitoring and Reporting:
Track portfolio performance and prepare detailed reports for internal and external stakeholders.
Contribute to quarterly and annual updates, providing insights on risk, opportunities, and investment adjustments.
Qualifications and Skills:
Preferred:
Experience in managing client relationships and communicating complex concepts effectively.
Familiarity with regulatory frameworks and compliance requirements.
Entrepreneurial mindset and ability to adapt in a dynamic environment.
Knowledge of tax implications of investment decisions and portfolio adjustments.
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