Commodity Portfolio Manager - Zürich, Schweiz - Vontobel Beteiligungen AG

    Vontobel Beteiligungen AG
    Vontobel Beteiligungen AG Zürich, Schweiz

    Gefunden in: beBee S2 CH - vor 1 Woche

    Default job background
    Ganztags
    Beschreibung

    Commodity Portfolio Manager

    Zürich / Genferstrasse 27Interested? Apply hereAt Vontobel, we are committed to actively shaping our future. We create and pursue investment opportunities that get our clients ahead. As a globally active, client-centric investment manager with Swiss roots, we specialize in wealth management, active asset management and investment solutions that fit.

    For our Quantitative Investments boutique, we are currently looking for a Commodity Portfolio Manager in Zurich. We offer a dynamic, entrepreneurial, and collaborative working environment with the opportunity to take ownership and actively contribute to our investment performance. In return, we expect strong team spirit and high interest in commodity markets, combined with the ability to work independently, reliably, and conscientiously.

    Responsibilities:

    • Contribution to our fundamental commodity research by monitoring commodity sectors and conducting in-depth analyses of the most promising commodities and market trends
    • Continuous monitoring of all relevant market developments, driven by a deep understanding of the macroeconomic environment and political/geopolitical factors
    • Presentation of new investment ideas and ownership of their performances
    • Delivery of written or verbal market and performance commentaries to our clients, prospects, and internal stakeholders, as well as contribution to our published investment views
    • Support the daily management of our commodity funds, including implementation of our investment strategy, management of the collateral portfolio, risk monitoring, FX hedging, and portfolio reconciliation
    • Participation in ad-hoc portfolio analysis, including risk and performance decomposition, and involvement in the preparation of client presentations, reporting documents and investment proposals
    • Development and maintenance of the tools needed to support the investment process

    Requirements:

    • Strong understanding of commodity markets in combination with a high interest for the asset class
    • Demonstrated ability to perform in-depth fundamental market and investment analyses
    • 3+ years of relevant work experience in the asset management industry or in a portfolio management position
    • Completed master's degree in Finance, Economics or similar, CFA or equivalent specialist training is an advantage
    • Engaged and self-motivated personality, precise and attentive to details, capable of adjusting to a fluctuating workload, withstanding pressure of deadlines, while demonstrating high ethical and professional standards
    • Team player with strong communication and interpersonal skills, clear and effective communication in both oral and written German and English is a must (Italian or French is a plus)
    • High proficiency with Bloomberg and MS Office (Excel, Power Point, Word), additional knowledge of VBA, SQL or Python is welcome
    Interested? Apply here

    Share

    Share