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Title

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Specialist in Strength Management

Description

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We are looking for a Specialist in Strength Management responsible for managing and optimizing investment portfolios with a focus on risk and return. The role involves analyzing financial markets, developing investment strategies, and continuously monitoring portfolio performance to ensure it meets established goals and guidelines. The candidate will work closely with other financial experts and contribute to improving investment processes through the use of advanced tools and models. The position requires a thorough understanding of economic principles, risk management, and regulatory requirements. We seek a proactive and analytical individual who can handle complex data and make informed decisions under pressure. You will also be responsible for reporting to management and assisting in training junior analysts in strength management. This is a key role in the organization requiring a high degree of integrity, accuracy, and the ability to work independently as well as in a team.

Responsibilities

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  • Develop and implement investment strategies
  • Monitor portfolio performance and risk
  • Conduct market analyses and economic assessments
  • Ensure compliance with regulatory requirements
  • Report portfolio status to management
  • Collaborate with other financial departments
  • Contribute to development of internal control tools
  • Guide and support junior analysts
  • Identify new investment opportunities
  • Optimize portfolio composition

Requirements

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  • Relevant higher education in economics or finance
  • Experience with portfolio or strength management
  • Strong analytical and quantitative skills
  • Good knowledge of financial markets and instruments
  • Ability to work independently and in teams
  • Good communication skills in Norwegian and English
  • Experience with risk management tools
  • Detail-oriented and accurate
  • Ability to handle complex data
  • Knowledge of financial regulatory frameworks

Potential interview questions

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  • How do you assess risk in an investment portfolio?
  • Can you describe a situation where you optimized a portfolio?
  • What tools do you use for market analysis?
  • How do you stay updated on financial regulations?
  • How do you handle pressure in decision-making?
  • Can you give an example of collaboration with other departments?
  • How do you ensure accuracy in reporting?
  • What motivates you in the role of strength manager?