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恒生銀行

Product Management Manager - Hang Seng Investment Management Limited

恒生銀行
發布於 2024-01-22
截止日期
全職
其他
薪水
面議
工作描述
Job description

A Career with Hang Seng Bank 

Hang Seng is committed to service excellence. Our people are our most important asset and play a vital role in our efforts to continually enhance our performance for customers and provide best-in-class products and services.  We seek to attract high-calibre talent by offering a dynamic working environment, good career development opportunities and competitive compensation packages. 


Hang Seng Investment Management Limited

Established in 1993, Hang Seng Investment Management Limited (“Hang Seng Investment”) is a wholly owned subsidiary of Hang Seng Bank Limited, and is Hong Kong No. 1 exchange-traded fund (“ETF”) manager in terms of assets under management. As a Hong Kong based asset management company specializing in managing funds related to mainland China and Hong Kong markets, Hang Seng Investment is committed to providing investors with comprehensive investment management services through investment managers with extensive experience in managing funds (including a series of ETFs and retail funds) and investment portfolios for institutional and private clients. As a leading home-grown asset manager in Hong Kong, Hang Seng Investment has 30 years of asset management experience.

 

We are seeking a high caliber to join us as Product Management Manager. 

 

Principal Responsibilities

  • Manage the existing fund range (including ETFs) to ensure that they are kept up-to-date and meet the needs of their investors, adhere to all regulatory requirements and remain as market competitive products

  • Keep abreast of regulatory changes and the group requirements and assess the implications on the funds.

  • Establish product management mechanisms to monitor the continual operation, performance and compliance of HSVM funds.

  • Manage the fund documentation (including offering documents and trust deeds) in respect of existing funds. 

  • Product life cycle management covering fund merge, fund termination, change in product features, etc. Prepare product proposal, due diligence paper, assist in product committee and promote high level of standard

  • Maintain strong relationships with various business units to support business growth strategy and coordinate cross functional departments for smooth launch arrangement. 

  • Participate in ad-hoc duties as assigned by line manager from time to time

Requirements
  • University graduate in Accounting, Finance, Economics, Business Administration or related discipline
  • Minimum of five years’ relevant experience, preferably in product development/ management, risk or compliance related role.
  • Fulfillment of the competency requirements to carry out relevant regulated activities as defined under the Securities and Futures Ordinance 
  • Possess knowledge of SFC/ MPFA regulations on investment products and experience in managing product related initiatives or fund documentation is a plus
  • Proficiency in both spoken and written English and Chinese; knowledge of Putonghua is an advantage
  • Strong analytical, project management, communication and interpersonal skills
  • Detailed-minded, ability to organize, prioritise multiple tasks and assist the team to successfully deliver tasks and meet deadlines
  • Great sense of ownership and servicing mindset to ensure efficient and effective delivery of outputs
職位要求
  • 管理基金商品
  • 追蹤法規變更
  • 建立產品機制
  • 協調跨部門
技能
產品
合規
投資
風險