- Conducting deep Investment (Research) Analysis for listed Companies in BEI.
- Preparing and updating Macroeconomic Outlook, Sector Market Outlook as well as Capital Market Outlook for Domestic Equity Market.
- Developing/ Constructing Portfolio Model and Investment Strategy for Equity Fund, Fixed Income Fund (optional) and Balance Fund.
- Participate in Managing the designated Portfolio Investment (Equity Fund, Balance Fund, Money Market Fund).
- Supporting the Quantitative Investment (Research) Approach.
- Minimum 3-5 years in Investment related field in Asset Management or Insurance Company.
- S1 degree from related major studies. Possessing strong Analytical Skills.
- Having decent/ good Interpersonal Communication Skills.
- Holding active WMI (Wakil Manajer Investasi) license from OJK.
About PT. PURWANTO ASSET MANAGEMENTLearn More
Purwanto Asset Management terdaftar dan diawasi oleh Otoritas Jasa Keuangan sebagai perusahaan manajer investasi di Indonesia.
We seek to ensure that every individual contributes accordingly to the rules and agreement to achieve company objectives
Consistently making an all-out effort to sustain people's trust of our products/services
We put great emphasis on preserving the high existing standard of our products/services