Portfolio Manager

3 days ago


Lagos, Lagos, Nigeria Ecobank Nigeria LTD Full time

ABOUT THE COMPANY

Ecobank Fintech
Let's build together.
Let's grow together.
Ecobank is proud to play a defining role in developing and supporting Africa's fincechs to help transform digital finance and banking.

JOB SUMMARY

Experience & Qualifications Bachelor's Degree in Economics, Business, Finance, Mathematics, Statistics and Engineering Relevant Regulatory Certification Master's degree in finance, Economics or an MBA is an added advantage. Professional Certification such as CFA, ACCA, CA, etc is a plus. At least 3 – 5 years' experience in Finance and InvestmentsSkills, Capabilities & Direct Attributes: Demonstrate thought leadership and strategic thinking. Capable of managing multi-functional operational teams. Numerical and Analytical Skills Good oral, presentation and written communication skills

RESPONSIBILITIES

Internally, the Portfolio Manager is required to work the Senior Portfolio Manager to manage key relationships with functional Units such as Compliance, Internal Audit, Sales and Business Development, Middle Office, and Operations. It requires being on top of issues and making significant input during Management meetings of respective Asset Management business in- Country.Key Duties Portfolio Construction: Development and or Identification of client's Investment Objective. The role requires the Portfolio Manager to be able to identify client's Investment Objectives based on interaction with the Client. This activity covers both institutional and High Net Worth Investors. For pre-determined Portfolios such as the Collective Investment Schemes, he/she is expected to clearly understand the stated investment objective of the scheme and be guided accordingly. He/she must communicate clearly with client to determine their respective desired return and risk tolerance. Choose the Optimal Asset Classes. Based on the investment objective, he/she is required to determine the most suitable. This asset mix include but not limited to Equities and Fixed IncomeFundamental and Technical Valuation and Analysis: The Portfolio Manager is expected to lead Equity and Fixed Income Valuation of the Portfolio Management Team. This requires a strong understanding of all key valuation methodologies such as Dividend Discount Model (DDM), Free Cash Flow to the Firm (FCFF), Free Cash Flow to Equity (FCFE), Enterprise Value and other relative valuation Techniques. Co-ordinate and lead Macroeconomic analysis of indicators such as Inflation, GDP, Exchange Rate, Government revenues and deficits to discover trends and patterns. This is expected to inform yield curve positioning and the strategy on fixed income asset allocation such as duration limits.Investor Meetings and Presentations: The Portfolio Manager is expected to co-ordinate and develop a calendar for meetings with all key investors of EDC Asset Management. This is to ensure that investors are met at least twice a year. Assist with the preparation of Investor Presentations. These presentations will cover Economic and Financial Market Reviews, Portfolio Reviews (including Key Holdings and asset mix, portfolio performance and attribution), Economic and Market Outlook, Investment Strategy, and recommendation. For Pension Fund Trustees and Insurance Firms, this activity is performed on a quarterly basis.Portfolio Analytics: Review Fund Factsheets for all Collective Investment Schemes before approval by Senior Portfolio Manager. Perform analysis on Portfolios to discover trends with the view of Rebalancing portfolios. Key analytics required include Sharpe Ratio, Treynor Index, Sortino Ratio etc. AuM growth analytics, asset mix dynamics, Counterparty exposure analytics, large holding analytics and business and revenue line analytics to discover trends and sequence to inform business on areas to improve efficiency.Credit Assessment and Scoring: Develop, maintain, and improve models for the assessment of Credit Risk. Must be conversant with the CAMEL Model and the parameters required for the assessment of Counterparty credit risk. Must develop, maintain, and improve models for assessing debt capacity of Corporate Note and Bond issuances. Must be comfortable and conversant in forecasting debt service coverage ratios.Investment Idea Generation: Must be very involved in the development of investment solutions for clients. This involves extensive study of the market to develop new products geared at meeting client needs. Work closely with the Sales and Business Development team to fashion investment solutions or products to meet those needs. Must understand the process of product development which includes working with all key stakeholders such as regulators, senior management, and key service providers to ensure the successful launch of new products.Development of Trade Execution Strategies: Must be very well vexed in equity market dynamics, following closely price and volume movements to determine the appropriate trading strategies to be adopted. Must work closely with Brokers to gain visibility on the happenings on the exchange to gain visibility on trade dynamics, price discovery and trajectory and mapped out optimal execution strategy. Develop fixed income trade ideas and strategy with the view improving portfolio performance and minimizing cost of trading. This involves utilizing the skill sets of the investment team to crunch big data to discover patterns and trends in the fixed income market.Board and Committee Meetings: Must prepare requisite information and reports for Investment Committee (IC) Meetings, Board Meetings of Collective Investment Schemes. This may include, working closely with the Senior Portfolio Managers and Investment Analysts to prepare the requisite reports. Must attend and present reports to IC Members and Board members for consideration and approval. Work on special reports as requested by IC or the Board of the Fund.

REQUIRED SKILLS

Reporting, Customer service, Knowledge of the Banking Act, Leadership skills, Bank management, Corporate credit, Account management (bank)

REQUIRED EDUCATION

Bachelor's degree


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