Acerca de la Empresa
CaixaBank Asset Management is a leading asset management firm in Spain, part of the CaixaBank Group, one of the country’s largest financial institutions. We specialize in managing a wide range of investment products, including mutual funds, pension funds, and discretionary portfolios, catering to both institutional and individual clients. Our commitment to innovation, sustainability, and client-centric solutions drives our success in a dynamic financial landscape. We foster a collaborative and professional environment where talent can thrive.
Descripción del Trabajo
We are seeking a highly motivated and experienced Asset Manager to join our dynamic team in Barcelona. The successful candidate will be responsible for overseeing and optimizing a portfolio of assets, ensuring alignment with investment strategies and client objectives. This role requires a strong understanding of financial markets, excellent analytical skills, and the ability to communicate effectively in English, as you will be working with diverse international portfolios and clients. You will play a crucial role in conducting market research, performing financial analysis, making informed investment decisions, and preparing comprehensive reports for stakeholders.
Responsabilidades Clave
- Manage and monitor assigned asset portfolios to achieve target returns and mitigate risks.
- Conduct in-depth financial analysis, market research, and due diligence on potential investments.
- Develop and implement investment strategies in line with company objectives and client mandates.
- Prepare detailed performance reports, presentations, and financial models for internal and external stakeholders.
- Liaise with clients, brokers, and other financial institutions to ensure smooth operations and strong relationships.
- Stay abreast of market trends, economic indicators, and regulatory changes impacting asset management.
- Contribute to the continuous improvement of investment processes and methodologies.
- Ensure compliance with all relevant financial regulations and internal policies.
Habilidades Requeridas
- Minimum of 3 years of experience in asset management, portfolio management, or financial analysis.
- Bachelor's degree in Finance, Economics, Business Administration, or a related field.
- Fluent in English (written and spoken) is mandatory.
- Proven analytical and quantitative skills with proficiency in financial modeling and valuation.
- Strong understanding of various asset classes (equities, fixed income, alternatives) and investment vehicles.
- Excellent communication, presentation, and interpersonal skills.
- Ability to work independently and collaboratively in a fast-paced environment.
- Proficiency with financial software and data platforms (e.g., Bloomberg, Refinitiv Eikon).
Cualificaciones Preferidas
- Master's degree or MBA in a relevant discipline.
- CFA designation or progress towards completion.
- Proficiency in Spanish or Catalan.
- Experience with sustainable and responsible investment (SRI) strategies.
- Prior experience in a global or international asset management firm.
Ventajas y Beneficios
- Competitive salary and performance-based bonuses.
- Comprehensive health and wellness programs.
- Pension scheme and attractive social benefits.
- Opportunities for professional development and continuous learning (e.g., CFA sponsorship).
- Dynamic and international work environment in a prime Barcelona location.
- Employee discounts on banking products and services.
- Flexible work arrangements (where applicable).
Cómo aplicar
Si estás interesado en esta oportunidad, haz clic en el botón "Aplicar ahora" que aparece a continuación. Para asegurar que tu solicitud sea considerada, por favor incluye:
- Un currículum actualizado
- Una carta de presentación breve que resuma tu experiencia y motivación
Las solicitudes se revisan de forma continua. Solo los candidatos preseleccionados serán contactados para una entrevista.
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