Portfolio Manager - Bengaluru, India - ElasticRun

    ElasticRun
    ElasticRun Bengaluru, India

    Found in: Talent IN C2 - 1 week ago

    Default job background
    Full time
    Description

    We are looking for a Portfolio Manager who will assess our clients risk tolerance and perform significant market research to develop portfolios that maximize their financial gains.

    A Portfolio Managers responsibilities include crafting investment packages and managing client expectations and transactions to achieve our clients overall objectives.

    Ultimately, you will work directly with clients to help them understand investment opportunities by setting client expectations, overseeing transactions and helping them reach their goals.

    • Provide client consultation to develop investment objectives
    • Provide advice and guidance for investment opportunities to customers
    • Create reports on investment performance and activity
    • Communicate with clients about their accounts, market conditions and economic trends
    • Manage equity and bond portfolios to maximize investment returns
    • Commensurate acceptable levels of risk based on client instructions
    • Provide client consultation to develop investment objectives
    • Provide advice and guidance for investment opportunities to customers
    • Create reports on investment performance and activity
    • Communicate with clients about their accounts, market conditions and economic trends
    • Manage equity and bond portfolios to maximize investment returns
    • Commensurate acceptable levels of risk based on client instructions
    • Proven work experience as a Portfolio Manager or similar role
    • Strong understanding of investment strategies and risk management
    • Excellent verbal and written communication skills
    • Strong analytical and problem-solving skills
    • Masters degree in business, finance, investment or a related field preferred
    • Proven work experience as a Portfolio Manager or similar role
    • Strong understanding of investment strategies and risk management
    • Excellent verbal and written communication skills
    • Strong analytical and problem-solving skills
    • Masters degree in business, finance, investment or a related field preferred