Operations Manager (Investment Management)

Kuala Lumpur, Kuala Lumpur Hiredly X

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This job is an Operations Manager in investment management. You might like this job because you'll streamline processes, lead projects, and mentor a team, all while ensuring our financial operations run smoothly and efficiently! As an Operations Manager, you will play a key role in the day-to-day operational processes supporting investment management activities. This role requires a strong understanding of back- and middle-office functions and the ability to collaborate across departments including finance, compliance, technology, and investment teams. Lead and coordinate the end-to-end onboarding process with custodians and clients - ensuring every account is opened seamlessly, every interaction professional, and every expectation exceeded. Oversee and execute accurate, timely cash and security transfers, keeping our financial operations frictionless and dependable. Manage daily trade and position reconciliations, swiftly spotting discrepancies and resolving them with precision and confidence. Partner with finance and fund administration teams on NAV calculations, performance attribution, and financial reporting - ensuring our numbers always tell the right story. Constantly challenge the status quo. Identify inefficiencies and bring fresh ideas to life through smart process improvements and automation. Be a key player in cross-functional projects, from tech upgrades to regulatory rollouts. Collaborate with our tech team to shape internal tools, automate workflows, and protect data integrity across systems. Guide, mentor, and uplift junior team members—fostering a culture of collaboration, ownership, and excellence. Job Requirements

Bachelor’s degree in Finance, Accounting, Business Administration, Engineering or equivalent. 3–5 years of relevant experience in an operations or middle-office role within the asset management or financial services industry. Proficient in Microsoft Excel (pivot tables, advanced formulas, lookups, etc.). Experience with VBA for process automation is preferred. Familiarity with RPA tools (e.g., UiPath, Blue Prism) is preferred. Strong understanding of fund structures (mutual funds, ETFs) and have a working knowledge of various asset classes including equities, fixed income, and alternatives. Analytical, resourceful, and meticulous - with a knack for solving problems others might overlook. Communicate clearly, confidently, and can simplify the complex when needed. Work well both independently and in team settings - capable of juggling multiple priorities without breaking a sweat. Hiredly X, the headhunting team of Hiredly, makes headhunting accessible and affordable for every employer, no matter the size or industry.We help employers screen and source the best candidates through exclusive access to our job portal database.Assisted with AI, we make the headhunting process fast and accurate, allowing us to be competitive with our fees. #J-18808-Ljbffr
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Senior Executive, JV Investment Management & Monitoring

Kuala Lumpur, Kuala Lumpur UEM Sunrise Berhad

Posted 4 days ago

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JOB PURPOSE To assist the Deputy General Manager with the day-to-day departmental functions. The SE major functions are mostly involved in providing end-to-end support for JV investment portfolio management, including business plan and financial forecast reviews, performance reporting, investment monitoring, governance compliance tracking, and execution of monetization initiatives from evaluation to transaction completion. Responsibilities: Support the preparation of Annual Operating Plan for JV portfolio including review of business plan & financial forecast of investee companies. Prepare periodical reports and analysis on investee companies. Develop and maintain JV portfolio and investment monitoring models. Support nominee directors for investee companies with relevant information and analysis. Support the tracking and monitoring of the status of compliance of investee companies with statutory and other governance requirements. Assist in any activation / monetization initiatives relating to JV investments including screening, valuation, due diligence, negotiation, documentation and preparing board papers/memos for internal approvals to completion of transaction. Qualifications: Possess at least a bachelor’s degree either in Finance, Accounting, Economics, Business, or Real Estate.

(Engineering degrees plus finance exposure may be considered depending on JV focus). Total Work Experience: Minimum 2 to 3 years in corporate finance, investment management or JV roles, ideally in real estate/property development. Advanced financial modelling, valuation, feasibility studies. Due diligence and commercial negotiation expertise. Robust reporting, communication, and stakeholder management skills. Strategic thinking, analytical problem-solving, and project coordination.

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Strategy Consulting Manager (Financial Services)

Kuala Lumpur, Kuala Lumpur Ernst & Young Advisory Services Sdn Bhd

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Press Tab to Move to Skip to Content Link Other locations: Primary Location Only Date: 9 Jul 2025 Requisition ID: 1465355 In an ever-more volatile and unpredictable world, making the right strategic decisions is key to successful and sustained business performance. As a strategic direction advisor, you will use your analytical ability to translate the corporate strategy of leading organisations into meaningful change. Working in high-performing teams, you will help clients develop growth strategies, improve strategic decision-making and planning, define more effective operating models and develop strategic profit improvement initiatives. Our structured learning and development program means you will progress personally and professionally. And working as part of a global network, you will gain unrivalled experiences across a diverse range of clients, sectors and geographies. So whenever you join, however long you stay, the exceptional EY experience lasts a lifetime. The opportunity As a Manager/Senior Manager for Transformation Architecture, you will help clients to solve enterprise-wide strategic, organisational and operational issues by formulating strategic initiatives, redesigning organisations, transforming the operations and processes, and improving business performance. You will lead client engagements and facilitate discussion with clients. You will interview clients, identify and summarize key issues, outline project approach and draft proposal content. Your key responsibilities Growth Strategy - assisting the client with developing a long-range, multi-year view of growth options and strategic recommendations Strategic Planning -designing a sustainable process and tools for a client to run effective strategic, long-range, and initiative investment planning processes Enterprise cost reduction and operating model design - assisting the client to reduce costs across the enterprise, and also to change the structure, governance and metrics of the enterprise Value driver-based decision support -assisting the client to identify drivers of enterprise value, and translate those drivers into planning, reporting and decision support frameworks to support strategic and operational decision-making Develop and drive account-planning, as well assales and delivery ofservice offerings Manage and control commercial aspects of the project delivery, including forecasting, budgeting and resource allocation Skills and attributes for success Strong analytical and problem-solving skills Dedicated, innovative, resourceful, analytical and able to work under pressure Foundational skills in quantitative and financial analysis Foster an efficient, innovative and team-oriented work environment with strong drive to excel professionally To qualify for the role, you must have A bachelor’s or master’s degree with a minimum of 5-years (Managers) or 8-years (Senior Managers) working experience, preferably at least 3-years in a business consulting role with a leading management consultancy organization Preferably experience in providing consulting services in strategy formulation and planning, organization design, and operation and business process improvement Experience in managing / dealing in large complex projects on public-private partnership, merger integration, organisation restructuring and transformation Experience evaluating current business operating models, designing and executing initiatives with business benefits to streamline the process and improve the effectiveness of the organization and its operating model Professional presence with the ability to engage management level clients as well as internal leadership stakeholders Ideally, you will also have Experience with leading industry players, including multinational companies or domestic large-scale leading companies MBA degree from a reputable business school What we look for Highly motivated individuals with excellent problem-solving skills and the ability to prioritize shifting workloads in a rapidly changing industry. An effective communicator, you’ll be a confident leader equipped with strong people management skills and a genuine passion to make things happen in a dynamic organization. If you’re ready to take on a wide range of responsibilities, and are committed to seeking out new ways to make a difference, this role is for you. What we offer EY offers a competitive remuneration package commensurate with your work experience,where you’ll be rewarded for your individual and team performance. We are committed tobeingan inclusive employer and are happy to consider flexible working arrangements(FWA), where this may be needed, guided by our FWA Policy. Plus, we offer: Continuous learning:

You’ll develop the mindset and skills to navigate whatever comes next. Success as defined by you:

We’ll provide the tools and flexibility, so you can make a meaningful impact, your way. Transformative leadership:

We’ll give you the insights, coaching and confidence to be the leader the world needs. Diverse and inclusive culture:

You’ll be embraced for who you are and empowered to use your voice to help others find theirs. If you can demonstrate that you meet the criteria above, please contact us as soon as possible. The exceptional EY experience. It’s yours to build. EY | Building a better working world EY exists to build a better working world, helping to create long-term value for clients, people and society and build trust in the capital markets. Enabled by data and technology, diverse EY teams in over 150 countries provide trust through assurance and help clients grow, transform and operate. Working across assurance, consulting, law, strategy, tax and transactions, EY teams ask better questions to find new answers for the complex issues facing our world today. Select how often (in days) to receive an alert: EY refers to the global organization, and may refer to one or more, of the member firms of Ernst & Young Global Limited, each of which is a separate legal entity. Ernst & Young Global Limited, a UK company limited by guarantee, does not provide services to clients.

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Investment Business Management, Manager

Kuala Lumpur, Kuala Lumpur Zurich 56 Company Ltd

Posted 4 days ago

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Press Tab to Move to Skip to Content Link Select how often (in days) to receive an alert: Select how often (in days) to receive an alert: Generates insights into a specific area of expertise (macro, markets, asset classes, regulatory etc.) based on data analysis. Articulates clear and actionable conclusions out of complex data sets. Job Functions

Retains and documents data analyses according to company’s policy Keeps abreast of latest and relevant advancements in area of expertise and in analysis tools Job Accountabilities - Key Accountabilities

Provides holistic objective interpretation of and conclusions from data, indicating solution options Masters analysis tools available in the industry Answers management’s data insights requests on their area of expertise Provides data & insights to management to enable analysis of potential issues Abides to quality standards of analysis and contributes in their collective definition Collaborates and supports local businesses on such standards and best practices Assesses the format, produces and enables reporting to effectively communicate insights. Proactively seeks information and network among peers, managers, experts across organizations and departments. Enables flow of information across co-workers and functions Explores, understands data, collects and combines data from different sources, compares and contrasts data to identify irregularities or patterns Job Qualifications

Required: Bachelor's degree and 5 or more years of experience in the Investment Analysis area.

Preferred: Experience in working in financial sector is a strong advantage. CFA or equivalent qualification is an advantage. Strong analytical and planning skills. Ability to effectively manage changing priorities. Strong written and verbal communication skills. Capable of understanding and managing the investment related ad hoc tasks and projects. Capable of providing meaningful analysis related to the investment management.

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Investment Business Management, Manager

Kuala Lumpur, Kuala Lumpur Zurich

Posted 4 days ago

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Job Summary Generates insights into a specific area of expertise (macro, markets, asset classes, regulatory etc.) based on data analysis. Articulates clear and actionable conclusions out of complex data sets. Job Functions

Retains and documents data analyses according to company’s policy Keeps abreast of latest and relevant advancements in area of expertise and in analysis tools Job Accountabilities - Key Accountabilities

Provides holistic objective interpretation of and conclusions from data, indicating solution options Masters analysis tools available in the industry Answers management’s data insights requests on their area of expertise Provides data & insights to management to enable analysis of potential issues Abides to quality standards of analysis and contributes in their collective definition Collaborates and supports local businesses on such standards and best practices Assesses the format, produces and enables reporting to effectively communicate insights. Proactively seeks information and network among peers, managers, experts across organizations and departments. Enables flow of information across co-workers and functions Explores, understands data, collects and combines data from different sources, compares and contrasts data to identify irregularities or patterns Job Qualifications Required: Bachelor's degree and 5 or more years of experience in the Investment Analysis area.

Preferred: Experience in working in financial sector is a strong advantage. CFA or equivalent qualification is an advantage. Strong analytical and planning skills. Ability to effectively manage changing priorities. Strong written and verbal communication skills. Capable of understanding and managing the investment related ad hoc tasks and projects. Capable of providing meaningful analysis related to the investment management. Ability to enhance efficiency.

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Vice President, Investment Risk Management

Kuala Lumpur, Kuala Lumpur Khazanah Nasional Berhad

Posted 4 days ago

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About Khazanah Nasional (“Khazanah”) Khazanah is Malaysia’s sovereign wealth fund that was established in 1994 with mandate to invest and deliver sustainable value for Malaysians. We strive to find balance between growing financial returns with appropriate risk-adjusted financial returns and developmental investments that delivers identified socio-economic impact to benefit future generations. By joining us, you will be working in an environment that upholds core values of professionalism, diligence, teamwork, integrity, and mutual respect. We offer a dynamic, intellectually rigorous, and growth-oriented environment for your personal and professional growth. Position Overview We are seeking a highly skilled, focused, and motivated Investment Risk Manager to join our Governance, Risk, and Compliance (GRC) team at Khazanah Nasional Berhad. As the Financial Quantitative Risk Analyst (Investment Risk) Vice President (VP), you will play a pivotal role in strengthening investment risk management across the Public Market portfolio, Dana Impak mandate, and Treasury portfolio. In this role, you will: Support the first line of defense in identifying, assessing, and managing investment risks to enhance portfolio resilience and increase the likelihood of achieving strategic objectives. Leverage existing risk management tools to ensure key portfolios are well-monitored and effectively managed. Act as a key member of the second line of defense, proactively engaging with internal and external stakeholders to implement a comprehensive investment risk framework. Continuously explore and integrate innovative risk management tools to enhance decision-making and mitigate potential exposures. Foster a strong risk culture across the organization, embedding risk awareness and best practices into daily operations. This role offers an exciting opportunity to drive risk excellence and enhance risk governance within a dynamic and strategic investment environment. Key Responsibilities 1. Risk Management: Lead and supervise the team in supporting the first line of defense in managing investment risks for the Public Market, Dana Impak, and Treasury portfolios. Oversee the review and assessment of risks for new investment proposals, conducting thorough analyses to support informed decision-making. Ensure annual reviews of risk controls for Public Market, Dana Impak, and Treasury portfolios, identifying areas for improvement and implementing necessary enhancements. Oversee the execution of annual stress testing exercises for Public Market portfolios to assess their resilience under different market conditions. 2. Risk Analysis & Modelling: Develop, implement, and maintain quantitative risk models across multiple asset classes, including public equities, private equity, and quantitative mandates. Establish quant risk capabilities within the team to effectively support Public Market quantitative strategies. Conduct in-depth risk assessments, including risk-return analysis, downside risk evaluations, and tail risk management to quantify risk exposures. Contribute to the development of proprietary risk models to monitor and manage portfolio risks more effectively. Mentor and train junior staff, enhancing their technical knowledge and skill sets to become proficient in quantitative risk management. 3. Stakeholder Engagement: Maintain proactive engagement with the Public Market and Dana Impak deal teams through regular discussions, addressing risk-related concerns and providing strategic insights. Participate in deal team meetings, contributing expertise where the investment risk team's presence is required. Conduct virtual engagements or site visits to external EFMs (External Fund Managers) on investment risk matters, fostering and maintaining strong working relationships. 4. Policy Development: Assist in the development and maintenance of risk management policies and guidelines, ensuring alignment with industry standards and regulatory requirements. 5. Reporting and Audit: Develop comprehensive investment risk reports, utilizing relevant risk analysis tools to provide senior management with actionable insights. Oversee and resolve audit findings related to investment risk management for Public Market, Dana Impak, and Treasury operations, demonstrating a commitment to continuous improvement. Qualifications and Experience Bachelor's degree in Actuarial Science, Finance, Accounting, Economics, Statistics, Engineering, Computer Science or a related field is required. While a Master's degree or professional certifications such as FRM (Financial Risk Manager) or CFA (Chartered Financial Analyst) would be advantageous, they are not mandatory. Minimum of 10 years of experience in the financial or asset management industry, with at least 7 years focused on investment risk management. Deep understanding of financial markets, investment products, and risk management methodologies. Proven experience with stress testing methodologies and risk model validation. Strong analytical and problem-solving skills, with meticulous attention to detail. Exceptional written and verbal communication skills, with the ability to clearly and concisely convey complex concepts. Demonstrated ability to collaborate effectively in a team-oriented environment and manage multiple priorities simultaneously. We encourage and value applications from all backgrounds, identities, and experiences whereby all qualified candidates will be assessed in a fair and equitable manner. Our employment decisions are based on merit, business needs, and job requirements.

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Manager, Investment Strategy (Investment & Asset Management)

Petaling Jaya, Selangor Sime Darby Property

Posted today

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Job Description

Requirements

Job Roles & Responsibilities

  • Assist in the formulation and subsequent realignment of real estate investment portfolio & fund management strategy and glide path to achieve SD Prop Group's targeted recurring income end state.
  • Undertake strategic initiatives and projects to grow Assets and Funds Under Management, recurring income streams and unlocking asset value via capital recycling.
  • Provide asset level support to divisional heads including recommending operational improvements to drive asset level returns
  • Modelling of Investment & Asset Management overall portfolio performance against corporate targets
  • Provide end-to-end support in evaluating, structuring, executing and managing investments including joint ventures, fund management/ formation, asset acquisitions and co-investments.
  • Proactive research on investment & fund management trends and opportunities by geographical, sectoral, risk-reward / investment type classification, as well as macroeconomic trends impact on the industry
  • Build and maintain investor relations and database for fund management business for future structuring of investment products / joint ventures

Education/ Professional Qualification

  • Degree in Real Estate, Business/Commerce, Finance or related discipline.
  • Minimum 7 years (Manager) of relevant experience
  • Preference for candidates with experience in the field of consulting, investments, corporate finance, private equity, research, fund management
  • Knowledge and past experiences in similar Real Estate / Investment and Asset Management roles is an added advantage
  • Possess strong qualitative and quantitative skills
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Manager, Investment Strategy (Investment & Asset Management)

Petaling Jaya, Selangor Sime Darby Property Berhad

Posted today

Job Viewed

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Job Description

  • Assist in the formulation and subsequent realignment of real estate investment portfolio & fund management strategy and glide path to achieve SD Prop Group’s targeted recurring income end state.
  • Undertake strategic initiatives and projects to grow Assets and Funds Under Management, recurring income streams and unlocking asset value via capital recycling.
  • Provide asset level support to divisional heads including recommending operational improvements to drive asset level returns.
  • Modelling of Investment & Asset Management overall portfolio performance against corporate targets.
  • Provide end-to-end support in evaluating, structuring, executing and managing investments including joint ventures, fund management/ formation, asset acquisitions and co-investments.
  • Proactive research on investment & fund management trends and opportunities by geographical, sectoral, risk-reward / investment type classification, as well as macroeconomic trends impact on the industry.
  • Build and maintain investor relations and database for fund management business for future structuring of investment products / joint ventures

Education/ Professional Qualification

  • Degree in Real Estate, Business/Commerce, Finance or related discipline.
  • Minimum 7 years (Manager) of relevant experience.
  • Preference for candidates with experience in the field of consulting, investments, corporate finance, private equity, research, fund management.
  • Knowledge and past experiences in similar Real Estate / Investment and Asset Management roles is an added advantage
  • Possess strong qualitative and quantitative skills
#J-18808-Ljbffr
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Manager, Investment Strategy (Investment & Asset Management)

Petaling Jaya, Selangor Sime Darby Property Berhad

Posted 4 days ago

Job Viewed

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Job Description

Assist in the formulation and subsequent realignment of real estate investment portfolio & fund management strategy and glide path to achieve SD Prop Group’s targeted recurring income end state. Undertake strategic initiatives and projects to grow Assets and Funds Under Management, recurring income streams and unlocking asset value via capital recycling. Provide asset level support to divisional heads including recommending operational improvements to drive asset level returns. Modelling of Investment & Asset Management overall portfolio performance against corporate targets. Provide end-to-end support in evaluating, structuring, executing and managing investments including joint ventures, fund management/ formation, asset acquisitions and co-investments. Proactive research on investment & fund management trends and opportunities by geographical, sectoral, risk-reward / investment type classification, as well as macroeconomic trends impact on the industry. Build and maintain investor relations and database for fund management business for future structuring of investment products / joint ventures Education/ Professional Qualification Degree in Real Estate, Business/Commerce, Finance or related discipline. Minimum 7 years (Manager) of relevant experience. Preference for candidates with experience in the field of consulting, investments, corporate finance, private equity, research, fund management. Knowledge and past experiences in similar Real Estate / Investment and Asset Management roles is an added advantage Possess strong qualitative and quantitative skills

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Manager, Investment Strategy (Investment & Asset Management)

Petaling Jaya, Selangor Sime Darby Property

Posted 4 days ago

Job Viewed

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Job Description

Requirements

Job Roles & Responsibilities

Assist in the formulation and subsequent realignment of real estate investment portfolio & fund management strategy and glide path to achieve SD Prop Group's targeted recurring income end state. Undertake strategic initiatives and projects to grow Assets and Funds Under Management, recurring income streams and unlocking asset value via capital recycling. Provide asset level support to divisional heads including recommending operational improvements to drive asset level returns Modelling of Investment & Asset Management overall portfolio performance against corporate targets Provide end-to-end support in evaluating, structuring, executing and managing investments including joint ventures, fund management/ formation, asset acquisitions and co-investments. Proactive research on investment & fund management trends and opportunities by geographical, sectoral, risk-reward / investment type classification, as well as macroeconomic trends impact on the industry Build and maintain investor relations and database for fund management business for future structuring of investment products / joint ventures

Education/ Professional Qualification

Degree in Real Estate, Business/Commerce, Finance or related discipline. Minimum 7 years (Manager) of relevant experience Preference for candidates with experience in the field of consulting, investments, corporate finance, private equity, research, fund management Knowledge and past experiences in similar Real Estate / Investment and Asset Management roles is an added advantage Possess strong qualitative and quantitative skills

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