POSITION DESCRIPTIONBANKING & FINANCE INDUSTRIES OCTOBER 2008
Position Title: Portfolio Manager - Derivatives
Position Code:948
Career Level:3

Responsible for
Managing a portfolio of Derivatives such as future, forwards, options, swaps.
 
Reports To
Head of Derivatives.
 
Supervises
May supervise analysts.
 
Main Activities
  • Managing a designated portfolio of funds to meet investment targets.
  • Applying analytical skills to investment decisions within portfolio.
  • Providing technical support and expertise to team members and other departments.
  • Preparing structured reports and presenting to Senior Management/Investment Committee.
  • Assisting with product reviews and investment related strategies.
  •  
    Key Skills
  • Strong communication skills, both written and verbal.
  • Sound investment, financial markets and product knowledge.
  • Advanced numerical skills.
  • Proficient in spreadsheet and statistical software packages.
  •  
    Internal Contacts
    Analysts, Marketing, Executive Team.
     
    External Contacts
    Clients.
     
    Typical Experience
    4 - 6 years experience in Portfolio Management coupled with tertiary qualifications in Business, Economics or Finance. May have SIA qualifications.
     
     

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