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Portfolio Manager in the Investment Office

The University of Hong Kong

Apply now Ref.: 534774
Work type: Full-time
Department: Investment Office (61300)
Categories: Executive / Technical / Support
Hong Kong

Portfolio Manager in the Investment Office (Ref.: 534774)

 

We are seeking an experienced investment professional to join the Investment Office as Portfolio Manager.

 

The Role

 

The appointee will be responsible for identifying, evaluating, and monitoring investment managers across multiple asset classes, including equities, fixed income, and alternatives. This role is central to building and maintaining a well-diversified, high-performing fund-of-funds portfolio. Additionally, the position offers flexibility for crossover responsibilities, enabling involvement in private market investments as needed. Key responsibilities include:

 

1. Manager Selection & Portfolio Management

  • Identify, evaluate, and select investment managers across equities, fixed income, and alternative assets;
  • Conduct detailed due diligence for prospective managers, integrating quantitative factors, quantitative assessment, and ensuring alignment with the University’s long-term objectives, 
  • Maintain and enhance relationships with existing managers through regular performance reviews, monitoring of strategy adherence, and evaluation of long-term suitability;
  • Contribute actively to investment team deliberations, share informed perspectives on managers and markets, and engage meaningfully in portfolio strategy discussions.

 

2. Strategic Insights and Reporting

  • Monitor public market trends, macroeconomic developments, and industry best practices to inform investment strategies;
  • Provide regular updates, insights, and performance analyses to stakeholders, including the Investment Committee; and
  • Prepare high-quality reports and presentations that communicate key findings, portfolio performance, and investment opportunities.

 

3. Collaboration and Process Enhancement

  • Partner with the investment operations team to ensure efficient execution of trades, subscriptions, and redemptions; and
  • Refine and enhance investment due diligence frameworks, workflows, and reporting tools to improve decision-making processes.
  • Perform any other tasks as assigned

 

Qualifications and Qualities

 

  • Bachelor’s degree in finance, economics, business, or a related field; advanced degree (MBA or equivalent) or CFA designation is preferred;
  • At least 10 years of relevant investment experience, with significant exposure to public markets and a willingness to engage with private market investments;
  • Deep knowledge of equities, fixed income, and hedge fund strategies including market neutral, equity long/short, global macro, multi-strategy, and event driven;
  • Proven expertise in conducting detailed due diligence and making well-supported investment recommendations across multiple asset classes;
  • Strong analytical and financial modelling skills, with experience in evaluating manager performance in public markets;
  • Excellent interpersonal and communication skills, with the ability to build and maintain strong relationships with investment managers and internal stakeholders;
  • Familiarity with portfolio construction, risk management, and compliance requirements across asset classes;
  • Fluent in English with excellent writing, communication, and presentation skills;
  • Self-motivated team player with a positive attitude and the ability to multi-task and work independently;
  • Experience in institutional investment settings, such as endowments, foundations, pension funds, or asset management firms;
  • Proficiency in portfolio management and reporting tools (e.g., Bloomberg, FactSet, eFront, or similar); and
  • Knowledge of global financial markets, macroeconomic trends, and alternative investments.

 

What We Offer

 

The appointment will be made on a fixed-term full-time contract for 2 years, to commence as soon as possible with the possibility of renewal subject to satisfactory performance. A highly competitive salary commensurate with qualifications and experience will be offered, together with contract-end gratuity and University contribution to a retirement benefits scheme at 15% of basic salary. Other benefits include annual leave and medical benefits.

 

How to Apply

The University only accepts online applications for the above post.  Applicants should apply online and upload an up-to-date C.V.  Review of applications will start as soon as possible and continue until April 17, 2026, or until the post is filled, whichever is earlier.

 

The University is an equal opportunities employer and
is committed to equality, ethics, inclusivity, diversity and transparency

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