CEO Office – Fintech
A very exciting opportunity to contribute to the strategic initiatives in the investment business unit at a leading Fintech company!
About the Company:
Our client is one of Indonesia's leading digital investment and financial platforms, focused on democratizing access to investing through technology, innovation, and ecosystem-driven growth.
Key Responsibilities:
If you possess the above qualifications and are keen to explore this opportunity further, please apply or send your updated CV to [email protected].
Our client is one of Indonesia's leading digital investment and financial platforms, focused on democratizing access to investing through technology, innovation, and ecosystem-driven growth.
Key Responsibilities:
- Drive growth and performance of Indonesia Stocks (IDS) and US Stocks (USS) products by developing data-driven growth strategies based on market trends, investor behavior, and product performance insights.
- Act as a subject matter expert for the investment business, providing strategic, quantitative, and market-driven recommendations across stocks and mutual fund products.
- Support the Mutual Funds business through fund selection analysis, portfolio optimization assessments, and product performance evaluations.
- Lead and execute strategic projects across investment products, operations, and business initiatives within the Investment Business Unit.
- Work closely with Risk teams to develop and enhance risk frameworks, including leverage models, haircut calculations, stock exposure management, and eligibility assessments for margin or leveraged products.
- Conduct financial modeling, quantitative analysis, and risk assessments to support product development, growth initiatives, and investment decision-making.
- Monitor market developments and investment opportunities to identify product enhancements and growth opportunities across investment offerings.
- Act as a key liaison with regulators, including OJK, and support external stakeholder engagement related to investment products and strategic initiatives.
- Partner closely with cross-functional stakeholders across Product, Risk, Operations, and Business teams to drive execution and business performance.
- Minimum 4+ years of experience within investment management, asset management, securities, wealth management, investment banking, fintech, or other financial services environments.
- Open to candidates from technology companies with strong investment expertise, CFA qualifications, or relevant capital markets experience.
- CFA certification is highly preferred, though candidates with strong investment product knowledge and practical investment experience will also be considered.
- Strong understanding of Indonesia equities, US equities, mutual funds, capital markets, and investment products.
- Hands-on experience in financial modeling, quantitative analysis, valuation, risk modeling, or portfolio analytics.
- Experience developing leverage frameworks, haircut methodologies, stock exposure models, or other investment risk management frameworks is highly preferred.
- Open to traders or investment professionals with demonstrated experience in building quantitative models, trading frameworks, or investment strategies.
- Strong analytical, structured thinking, and problem-solving capabilities with high attention to detail.
- Possesses strong business judgment and the ability to balance growth opportunities with risk management considerations.
- Excellent stakeholder management and communication skills, with the ability to work effectively across multiple functions and external parties.
If you possess the above qualifications and are keen to explore this opportunity further, please apply or send your updated CV to [email protected].
Referral reward: Rp5000000