Join Us ChinaAMC
International Business
   Development
QFII Equity Portfolio Manager
Global Equity Portfolio Manager
Senior Quantitative Analyst &     Portfolio Manger
Company Overview
How to Apply
 
 
International Business Development

Key Responsibilities
  • Develop international institutional clients, and acquire fee-based investment mandates and business cooperative opportunities through extensive research and networking;
  • Provide quality services and maintain strong relationship with clients;
  • Effectively analyze and diagnose each client's needs, and conduct product design and professional analysis in order to appropriately market ChinaAMC's investment capabilities, philosophies, products, and performances, etc;
  • Initiate and conduct meetings with clients, educating them on ChinaAMC's key points of differentiation in a clear and concise manner;
  • Make business development plans and conduct daily management of the responsible business field/ team;
  • Other tasks as assigned.
Required Qualifications
  • Over five years of working experience in financial institutions in U.S. or other developed markets;
  • Keen interest in institutional clients development, product development, as well as other cross border business development;
  • Conferred Bachelor/Master's degree from top universities in U.S. or other English-speaking developed countries;
  • Excellent English and Chinese written and verbal communication skill, including ease with public speaking in both languages (presentations, road-shows, etc);
  • Highly motivated, logical thinker, attention to details, and able to work under pressure and tight deadlines;
  • Willingness and ability to travel;
  • Able to work both independently and as part of the team;
  • Uncompromised integrity and clean personal record;
  • Proficiency with Wind Financial, Bloomberg, Factset and Barra.
Preferred Qualifications
  • Previous sales or business development experience gained from prestigious global sell-side or buy-side firms;
  • Strong working knowledge of global asset management business and capital markets;
  • Professional credentials such as Chartered Financial Analyst (CFA) preferred.

Work Location: Beijing, or New York.
Job Type: Full time
Company: China Asset Management Co. Ltd.
QFII Equity Portfolio Manager

Key Responsibilities
  • Report to head of QFII investment;
  • Manage 1-5 QFII portfolios, combined AUM around 1-5 Billion RMB;
  • Consistently achieve excess return through a definable, repeatable, and accountable investment process;
  • Work proactively and collaboratively with the firm's investment research team to improve its overall research capabilities, professionalism and global vision. Mentor analysts in company and sector research. Work with other QFII portfolio managers to form and implement QFII investment strategies in alignment with the firm's investment principles;
  • Work closely with the firm's business development, product and other teams to promote the firm's products to its institutional clients.
Required Qualifications
  • Over 2 years of proven track record managing QFII-A share mandate, ideally for AUM more than 100 million USD;
  • Capacity to deploy an institutionally sound, repeatable investment process and able to cogently and effectively articulate and defend his/her investment philosophy with conviction;
  • Overseas education background and work experience from recognized global buy-side or sells-side firms;
  • Fundamental-driven investment style, deep insights into A-share sectors and companies and ability to generate alpha via bottom-up stock selection with low turnover;
  • Strong teamwork mentality and being able to communicate clearly and effectively with internal and external counterparties. Comfort in debating with other investment team members and having his/her investment ideas challenged;
  • Excellent English and Chinese written and verbal communication skill, including ease with public speaking in both languages (presentations, road-shows, etc). Effectively representing the firm to its clients.
  • Uncompromised integrity and clean personal record;
  • Proficiency with Wind Financial, Bloomberg, Factset and Barra.
Preferred Qualifications
  • Highly self-motivated and willingness to be challenged;
  • Ability to think independently, make judgment calls and assume risk;
  • Critical thinking;
  • Professional credentials such as Chartered Financial Analyst (CFA) preferred.

Work Location: Beijing, or New York.
Job Type: Full time
Company: China Asset Management Co. Ltd.
Global Equity Portfolio Manager

Key Responsibilities
  • Manage global portfolio with colleagues, and consistently achieve excess return through a definable, repeatable, and accountable investment process;
  • Review portfolio stock selection on a daily basis; review portfolio sector allocation on a weekly basis; and review portfolio asset allocation on a monthly basis;
  • Work closely with the firm's business development, product and other teams to promote the firm's products to its institutional clients.
Required Qualifications
  • Over 5 years of global investment experience from recognized global buy-side firms with outstanding track record;
  • Having a framework of global asset allocation among equity, fixed income, cash and other asset classes;
  • Strong teamwork mentality;
  • Honest, trustworthy, uncompromised integrity and clean personal record;
  • Proficiency with Wind Financial, Bloomberg, Factset and Barra.
Preferred Qualifications
  • Global portfolio management experience with AUM over 2 billion USD;
  • Experience in US equity;
  • Experience in leading a team of investment professionals;
  • Professional credentials such as Chartered Financial Analyst (CFA) preferred.

Work Location: Beijing, or New York.
Job Type: Full time
Company: China Asset Management Co. Ltd.
Senior Quantitative Analyst & Portfolio Manger

Principal Responsibilities
  • Develop or enhance quantitative stock selection, sector allocation, market timing models for the Chinese A share market;
  • Experts in options, commodities & currencies trading. global tactical asset allocation also considered given the impending launch of SSE 50 ETF options and other futures instruments in China and the need to develop related businesses;
  • Implement quantitative strategies in mutual fund products or separately managed accounts with relative or absolute return investment objectives;
  • Enhance risk analysis, portfolio construction and trading process;
  • Develop related quantitative analysis systems and tools;
  • Assist in marketing and product design for retail and institutional businesses;
  • Work on special projects and assignments.
Required Qualifications
  • Over five years of working experience as a quantitative analyst or portfolio manager with strong research background at top buy-side firms in the U.S. or other developed countries;
  • Advanced degree from top universities in the US or other developed countries in a technical discipline such as physics, finance, statistics/econometrics, applied mathematics, computer science , financial engineering, CFA is a plus;
  • C/C++, Java, Python or experience with an analytical modeling language such as Matlab or R;
  • Excellent English and Chinese written and verbal communication skills;
  • Highly motivated, attention to details, a team player and ability to work independently;
  • Creative thinking, effective problem solving and ability to adjust to different market and working environment.
Company Overview

Established in 1998, China Asset Management Co., Ltd. (ChinaAMC) is the leading asset manager in China with total AUM of around USD 90 billion as of December 31, 2014. It provides services to both domestic and foreign clients in China’s A-share and fixed income markets, and has a wide client base consisting of more than 35000 institutional investors and 24 million retail investors. Advocating strong investment and research culture, ChinaAMC has built the largest buy-side professional team of over 200 investment professionals. ChinaAMC is a leading institutional asset manager, and the top corporate pension manager in the industry in China. It is also a leading QFII manager in China for a dozen of QFIIs including central banks, SWFs, government pensions, asset managers, and banks from various countries/regions around the globe.

How to Apply

Interested candidates may send CV in both Chinese and English version to Recruiting@chinaamc.com
  • Please indicate "Position + Name + School Name + Major/ Position + Current Company Name + Job Title" in the email title. For example: Equity Research Analyst Jason Bourne UCLA Finance.
  • Please contact Yang Yang at (86 10) 88066840 for any further information.
ChinaAMC