Company Description شركة قناة السويس لتأمينات الحياة is a life insurance company with a long-standing history and substantial business operations, reflected in its strong relationships with leading clients and experts in the field. The company is recognized for its solid reputation in the local insurance market and its focus on delivering reliable, high-quality services. قناة السويس لتأمينات الحياة is committed to prudent financial management, sustainable growth, and supporting the long-term security of its policyholders. The organization values professionalism, integrity, and strong analytical capabilities in its team members, offering opportunities for growth and development in a stable environment.
Role Description The Portfolio Manager is a full-time, on-site role based in Giza, responsible for managing and optimizing the company’s investment portfolios in line with risk and return objectives. Daily activities include analyzing market trends, evaluating investment opportunities, executing trades, and monitoring portfolio performance against benchmarks and regulatory requirements. The role involves preparing reports and recommendations for senior management, rebalancing portfolios as needed, and ensuring compliance with internal policies and external regulations. The Portfolio Manager collaborates with finance, risk, and senior leadership teams to support strategic asset allocation and enhance overall portfolio performance.
Qualifications
- Candidates should possess strong Portfolio Management and Investments skills to construct, monitor, and adjust diversified portfolios.
- Candidates should possess solid Finance and Trading skills to analyze financial instruments, execute transactions, and manage liquidity and risk.
- Candidates should possess advanced Analytical Skills to interpret market data, perform quantitative analysis, and support evidence-based decisions.
- Bachelor’s degree in Finance, Economics, Business, or a related field; a master’s degree or professional certifications (e.g., CFA) are a plus.
- Relevant experience in investment management, asset management, or financial markets, preferably within insurance or financial services.
- Strong knowledge of local and international financial markets, regulatory frameworks, and risk management practices.
- Proficiency in financial modeling and portfolio analysis tools; good command of Excel and related analytics software.
- Effective communication and presentation skills, with the ability to work collaboratively and maintain high ethical and professional standards.