46 ARIN CONSULTANCY Jobs
Fund Manager - Mutual Fund (5-8 yrs)
ARIN CONSULTANCY
posted 19hr ago
Key skills for the job
Key Responsibilities:
1. Portfolio Management:
- Trade Execution & Ownership:
- Manage and execute trades for mutual fund schemes based on signals generated by internal algorithms.
- Plan and execute rebalancing trades, ensuring efficient execution aligned with model-driven strategies.
2) Automation & Data Integration:
- Collaborate with external data providers (e.g., Bloomberg, Mfund) to automate trading and monitoring activities.
3) Strategy Optimization:
- Develop execution strategies for optimal stock-level selection, timing, and fulfilment of trades.
4) Market Research:
- Analyse market dynamics to make informed asset allocation decisions between equity and debt instruments.
- Stay updated with macroeconomic trends and market developments affecting portfolio performance.
5) Derivatives Utilization:
- Compliance with regulatory guidelines.
6) Strategic Integration:
- Leverage derivatives for hedging, risk management, and portfolio enhancement.
7) Risk Monitoring:
- Monitor derivative exposures to ensure alignment with fund objectives and compliance with regulatory guidelines.
- Maintain accurate records and documentation for audit and regulatory purposes.
8) Regulatory & Compliance:
- Ensure full compliance with SEBI regulations, internal governance frameworks, and industry best practices.
- Maintain accurate records and documentation for audit and regulatory purposes.
9) Quantitative Research & Model Development:
- Conduct market analysis, develop systematic models, and perform back testing to enhance portfolio performance.
- Utilize various quantitative tools and platforms for strategy formulation, including:
- Open-source: Python, R
- Closed-source: MATLAB, proprietary systems
Qualifications & Skills:
- Proven experience in portfolio management, quantitative research, and trading in mutual fund schemes.
- High proficiency with Bloomberg Terminal and advanced MS-Excel functionalities.
- Strong understanding of equity, debt markets, and derivative instruments.
- Familiarity with SEBI regulations and compliance standards.
- Excellent analytical, problem-solving, and communication skills.
- Ability to work in a fast-paced environment with a strong attention to detail.
Why Join Us?
- Opportunity to work with cutting-edge algorithm-driven investment strategies.
- Collaborate with industry leaders and leverage state-of-the-art technology.
- Competitive compensation with growth and learning opportunities.
Functional Areas: Other
Read full job description5-8 Yrs