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Pension Fund Investment Manager
3 months ago
Job Title: Pension Fund Investment Manager
Job Summary: As a Pension Fund Investment Manager, you will oversee the investment strategy and portfolio management of pension funds, ensuring the prudent management of assets to meet long-term financial obligations and retirement benefits for plan participants. This role involves asset allocation, investment analysis, risk management, and strategic decision-making to optimize investment returns while aligning with regulatory requirements and fiduciary responsibilities. You will collaborate with trustees, investment committees, and external advisors to achieve investment objectives and maintain the financial health of the pension fund.
Roles and Responsibilities:
Investment Strategy and Asset Allocation:
- Develop and implement investment strategies, asset allocation models, and portfolio construction approaches to achieve long-term investment objectives and funding requirements of the pension fund.
- Conduct periodic reviews and adjustments to asset allocations based on market conditions, investment performance, and risk tolerance levels.
Portfolio Management and Investment Selection:
- Manage the day-to-day investment activities, including security selection, portfolio rebalancing, and tactical asset allocation decisions to optimize investment returns and manage risk.
- Evaluate and select investment managers, mutual funds, private equity funds, hedge funds, and other investment vehicles to diversify the pension fund portfolio and enhance performance.
Risk Management and Compliance:
- Implement risk management strategies, investment guidelines, and compliance frameworks to ensure prudent investment practices and adherence to regulatory requirements (e.g., ERISA, SEC).
- Monitor investment risks, liquidity positions, and market exposures to mitigate downside risks and protect the financial stability of the pension fund.
Performance Monitoring and Reporting:
- Monitor investment performance, benchmark comparisons, and key performance indicators (KPIs) to assess portfolio performance against stated objectives and benchmarks.
- Prepare regular investment reports, performance summaries, and financial analyses for trustees, investment committees, and stakeholders to facilitate informed decision-making.
Stakeholder Engagement and Communication:
- Collaborate with pension fund trustees, investment committees, and external advisors to provide investment updates, strategic recommendations, and financial forecasts.
- Communicate investment strategies, portfolio reviews, and market insights effectively to stakeholders, ensuring transparency and alignment with fiduciary responsibilities.
Governance and Regulatory Compliance:
- Ensure compliance with legal and regulatory requirements, fiduciary duties, and governance policies governing pension fund investments.
- Maintain documentation, records, and audit trails to demonstrate compliance with investment policies, reporting standards, and regulatory guidelines.
Skills Required:
- Investment Management: Deep understanding of asset allocation strategies, investment analysis, portfolio management techniques, and financial markets.
- Risk Assessment: Strong quantitative and qualitative analysis skills to assess investment risks, evaluate performance metrics, and implement risk mitigation strategies.
- Financial Acumen: Proficiency in financial modeling, valuation methods, and economic principles relevant to pension fund investments.
- Communication: Excellent interpersonal and communication skills to articulate complex investment concepts, present investment strategies, and engage with diverse stakeholders.
- Regulatory Knowledge: Familiarity with pension fund regulations, fiduciary responsibilities, ERISA guidelines, and compliance frameworks applicable to institutional investors.
Education and Experience:
- A Bachelor's degree in Finance, Economics, Business Administration, or related field is typically required; advanced degrees (e.g., MBA, CFA) and professional certifications (e.g., Chartered Pension Fund Investment Manager) are preferred.
- Proven experience (typically 5-7 years) in investment management, pension fund administration, or institutional asset management roles within financial institutions, pension funds, or investment firms.
- Demonstrated track record of successfully managing investment portfolios, achieving investment objectives, and navigating regulatory requirements in the pension fund industry.
Compensation:
- The compensation package for a Pension Fund Investment Manager typically includes a competitive base salary, performance-based bonuses tied to investment performance metrics, and potentially incentive compensation based on fund growth or profitability.
- Additional benefits such as health insurance, retirement plans, and pension contributions may also be provided based on the employer's policies and pension fund structure.