Responsibilities:
- Ensure that all departments of the company work in coordination and achieve overall goals.
- Cultivate team members, improve the overall performance of the team, and ensure efficient and stable operation of the company.
- To formulate the company's development strategy and provide strategic guidance for the company's future growth.
- Analyze market trends and opportunities, make investment strategy recommendations, and promote the company's business growth.
- Assume the responsibilities of treasurer and be responsible for the company's fund management and portfolio management.
- Supervise financial budgets and financial reports to ensure good financial status and compliance with regulatory requirements
- Assist the CEO in making investment decisions, evaluate investment opportunities and risks, and formulate investment strategies.
- Ensure the diversification and risk control of the investment portfolio and improve the return on investment.
- In-depth understanding of the operating models and investment strategies of financial institutions such as insurance funds, insurance, and sovereign funds.
- Analyze industry trends and competitors, and provide industry references and data support for company decision-making.
- Work closely with internal and external teams of the company to establish a good partnership.
- Promote teamwork and communication, and maintain team cohesion and execution.
Requirements:
- Bachelor degree or above in finance, accounting or related fields.
- Extensive management experience and treasury skills, and has worked in the financial field.
- Excellent communication and leadership skills, able to assist the CEO in managing the company.
- Sharp investment vision and risk control capabilities, able to effectively manage investment portfolios.
- In-depth understanding of the financial industry, familiar with the operation of insurance funds, insurance, sovereign funds and other institutions.
Interested parties please send your resume to [email protected]