HSBC

Senior Equity Portfolio Manager

HSBC$160K — $200K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 5-10 years of experience in equity portfolio management
  • Proven track record of successful investment performance
  • Strong domain expertise in US equity research
  • Experience in leading and mentoring a team
  • Familiarity with compliance and regulatory requirements

Responsibilities

  • Manage US equity portfolios to ensure strong performance and risk management
  • Collaborate with internal stakeholders to enhance investment strategies
  • Evaluate and optimize portfolio performance based on market conditions
  • Utilize financial models for data-driven investment decisions
  • Lead a high-performing investment team, fostering excellence and collaboration
  • Ensure adherence to regulatory compliance and fiduciary responsibilities
  • Prepare for audits and regulatory communications

Benefits

  • Opportunities for professional development and training
  • Collaborative and supportive work environment
  • Mentorship and leadership opportunities
  • Engagement in client-facing events and presentations
  • Involvement in shaping investment strategies and best practices
Full Job Description
The Senior Equity Portfolio Manager is responsible for the ongoing management of the US equity portfolios in the proposition, including delivering strong investment performance and effectively managing risk. This also includes managing the team of Project Managers and analysts that support the various strategies offered.

This position requires a strong domain expertise in US equity research and portfolio management, including strong equity portfolio management and investment research with a tangible and successful performance track record.

The role is expected to collaborate and share with equity portfolio managers and research analysts, responsible investment experts and other internal stakeholders, and supporting the commercial success.

As our Senior Equity Portfolio Manager you will:
  • Follow team established investment philosophy and processes in security selection and portfolio construction
  • Evaluate and optimize portfolios to improve returns and manage risk
  • Monitor portfolios for necessary adjustments, rebalancing assets based on market movements, cash flows, and performance deviations
  • Utilize financial models and analytics tools to generate insights, supporting data-driven decision-making
  • Conduct regular reviews of portfolio performance and risk metrics
  • Participate and communicate high conviction portfolio holdings with equity peers and other stakeholders
  • Contribute toward developing best practices in equity research and portfolio management
  • Develop a multi-year business plan together with product specialists and marketing
  • Develop a strong narrative for investment strategies
  • Participate in internal and external client events
  • Present investment strategies, performance, and market outlook with internal and external clients
  • Support and oversight of the end-to-end derivatives process e.g. Operations, Legal, Compliance, Risk, etc
  • Lead, mentor, and develop a high-performing investment team, foster a culture of excellence and continuous improvement
  • Provide strategic direction and support to portfolio managers, analysts, and traders
  • Promote collaboration and knowledge sharing within the team and across the organization
  • Contribute to improved and efficient operational controls and processes
  • Ensure all investment activities comply with OCC Regulation 9, including fiduciary responsibilities and prudent investment management
  • Maintain up-to-date knowledge of regulatory changes and ensure the investment team adheres to all legal and regulatory requirements
  • Prepare and oversee regulatory communications and audits as required
  • Manage balance between investment returns and risks
  • Prioritize deliverables effectively considering evolving demands and occasional resourcing constraints
  • Work with stakeholders to drive portfolio outcome consistency
  • Ensure all trading activities comply with internal policies and regulatory guidelines
  • Establish and maintain robust risk management practices to identify, assess, and mitigate investment and non-financial risks
  • Ensure compliance with OCC Regulation 9 and other relevant regulatory requirements
  • Develop and oversee the implementation of risk control measures and procedures
  • Adhere to processes and controls to identify and mitigate risks and ensure timely escalation of control issues and reputation risks
  • Leadership on regulatory and compliance matters

Your final fixed pay offer will depend on the candidate and several variables, including but not limited to, role responsibilities, skill set, depth of experience and education, licensing/certification requirements, internal relativity, and specific work location.

About HSBC

HSBC Holdings plc is a British multinational investment bank and financial services holding company. It is the second largest bank in Europe, with total assets of US$2.984 trillion (as of August 2021). HSBC traces its origin to a hong in British Hong Kong and its present form was established in London by the Hongkong and Shanghai Banking Corporation to act as a new group holding company in 1991; its name derives from that company's initials. The Hongkong and Shanghai Banking Corporation opened branches in Shanghai in 1865 and was first formally incorporated in 1866. The company was renamed The Hongkong and Shanghai Banking Corporation Limited in 1989.
Learn more about HSBC
Size
219,763 employees
Market Cap
$124.1 billion
Industry
Net Income
$5.2 billion
Founded
1880
5 Year Trend
-3.1%
NASDAQ

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