Investment Manager

TDC Group of Companies
Saint Kitts and Nevis (KN)
Competitive salary
27 May 2021
26 Jun 2021
Job role
Experience level
Job Summary:
The Investment Manager is responsible for managing and developing strategies for the Group's overall investment portfolio including meeting with fund managers and preparing and reporting on the analysis of investments and investment strategies. The Investment Manager will also review the Group's investment strategy, research new investment opportunities, recommend changes in investments to manage risks and generate an acceptable rate of return. The Manager will be required to provide investment information and financial advice and maintain a knowledge of a wide range of investment and financial products including stocks, bonds and shares.
Main duties:
* Oversee the sale, purchase and administration of securities and assets for investors.
* Explore potential portfolio additions/reallocations that optimize the management of risk and long-term return of identified investment goals.
* Perform research such as detailed company or industry analyses, to inform financial forecasting, decision making or valuation.
* Monitor regulatory and tax law changes to ensure compliance and to capitalize on development opportunities.
* Develop and implement fund investment policies or strategies.
* Manage investment funds to maximize return.
* Engage in regular research to stay abreast of relevant investment markets, global financial markets and general current events.
* Prepare monthly investment reports for the Investment Committee.
* Develop relationships with brokers.
* Recommend financial investment opportunities.
* Work closely with investment analysts to assess financial information and investment opportunities.
* Presents investment opportunities and related analysis while pitching proposed course of action.
* Use complex financial models to project future earnings.
* Prepare for and respond to regulatory inquiries.
* Review completed work of others for conformity to policy and effectiveness of approach.
* Assess manager roles and their adherence to the fund investment strategy.
* Meet with investors to determine investment goals or to discuss investment strategies.
* Evaluate the potential of new product developments or market opportunities, according to factors such as business plans, technologies or market potential.
* Monitor/reevaluate portfolios by communicating with fund managers.
* Develop and implement risk-based asset allocation model and performance analytics and prepare recommendations for the Investment Committee.

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