Job Description - Multi Asset Analyst | Family Office
Multi‑Asset Investment Analyst - Family Office (Hong Kong)
A prestigious family office with over USD 800M AUM is seeking a Multi‑Asset Analyst to join its investment team in Hong Kong. The role reports directly to a seasoned Portfolio Manager with more than a decade of investment experience. This hire will play a key part in supporting global multi‑asset strategies with a strong analytical and macro‑driven approach.
Key Responsibilities
Conduct fundamental macroeconomic and multi asset research across global asset classes, including equities, fixed income, alternatives, and FX.
Support portfolio construction, asset allocation, risk monitoring, and performance attribution activities.
Build and maintain data models, dashboards, and analytics tools to enhance investment decision‑making.
Prepare investment reports, insights, and recommendations for the Portfolio Manager and internal stakeholders.
Assist in trade execution workflows and daily portfolio management tasks as required.
Requirements
Bachelor's degree in Finance, Economics, Engineering, Data Science, or a related field; advanced degrees or certifications (e.g., CFA) are advantageous.
5+ years of experience in multi‑asset investing or macro research, ideally within the buyside (e.g., asset managers, hedge funds, family offices).
Prior exposure to U.S. multi‑asset markets or North American macro dynamics is strongly preferred.
Strong proficiency in Python, VBA, or SQL for data analysis and model development.
Excellent analytical, written, and verbal communication skills.
Fluency in English and Chinese is required.
Ability to work independently in a lean, high‑ownership environment.
What This Role Offers
Direct mentorship from an experienced Portfolio Manager.
Exposure to full lifecycle multi‑asset portfolio management.
High visibility within a disciplined, well‑capitalized family office environment.
Opportunity to influence investment decisions across global markets.
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