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The Hive-Careers

Vice President – Asset Management & Research

The Hive-Careers

  • Kingston and St. Andrew / St. Catherine / St. Thomas
  • Negotiable
  • Permanent full-time
  • Updated 08/06/2026
  • HR

The Vice President – Asset Management & Research is responsible for leading the investment strategy, portfolio construction discipline, and research architecture across the company Financial Group's asset management platform.

Job Position: Vice President – Asset Management & Research

Job Nature: Hybrid (Kingston, Jamaica)

ROLE AND CORE FUNCTION

The Vice President – Asset Management & Research is responsible for leading the investment strategy, portfolio construction discipline, and research architecture across the company Financial Group's asset management platform.

The role serves as a central investment leadership function, responsible for integrating research insights, macroeconomic analysis, and portfolio construction frameworks into a coherent investment process that drives superior risk-adjusted returns across all managed portfolios.

The incumbent will provide strategic oversight of multi-asset portfolio management, investment research, asset allocation frameworks, and product innovation, ensuring that investment decisions across the Group are grounded in rigorous analysis, disciplined risk management, and consistent investment philosophy.

The role will also play a critical leadership function in centralizing investment research capabilities and guiding investment thinking across the Company Financial Group, including collaboration with affiliated entities within the company.

This position therefore sits at the intersection of investment strategy, portfolio management, and research leadership, and is critical to the continued growth and institutionalization of the Group's asset management platform.

Strategic Mandate

The Vice President will play a central role in advancing the Group's ambition to build a best-in-class regional asset management platform by:

Institutionalizing the firm's investment philosophy and portfolio construction discipline
Strengthening the integration between research insights and portfolio decisions
Enhancing the firm's multi-asset investment capabilities
Supporting the development of innovative investment products
Driving consistent risk-adjusted investment performance across portfolios

FUNCTIONAL RESPONSIBILITIES

Investment Strategy Leadership:

Guide asset allocation decisions across fixed income, equities, alternatives, and multi-asset portfolios, ensuring alignment with investment mandates and market conditions
Lead the design and implementation of portfolio construction frameworks across the firm's discretionary portfolios and investment funds.
Ensuring that the asset management business meets its growth, revenue and strategic targets.
Oversee the performance of investment portfolios, ensuring that returns are competitive on both an absolute and risk-adjusted basis.
Ensure that all portfolios operate within established investment policy statements, regulatory limits, and internal risk parameters.
Ensuring compliance of all assigned portfolios with all required investment policy, risk and regulatory limits
Provide investment leadership in the management of the firm's collective investment schemes, including mutual funds and unit trusts
Overseeing and supporting business development efforts towards securing new asset management business i.e. client investment proposals, client calls, responses to requests for proposal etc.
Implementing and maintaining a programme of effective performance measurement, reporting and management for the various portfolios under management.
Investment Research Leadership:

Lead the development of the firm's investment research architecture, ensuring that research outputs directly inform portfolio construction and investment decision-making
Oversee the production of macro, fixed income, equity, and cross-asset research across the Group
Coordinate research efforts across Barita Investments, JN Fund Managers, and other affiliated entities to ensure consistency in investment views.
Lead the development and communication of the firm's house investment outlook across local and global markets.
Ensure the timely production and dissemination of investment strategy reports, market commentary, and portfolio positioning guidance.
Leading the ideation, construction and communication of the company's investment outlook across local and global markets.
Promote the use of data analytics, quantitative tools, and emerging technologies to enhance the research process.
Investment Product Development

Lead the development of new asset management products and strategies, including unit trusts, mutual funds, discretionary mandates, and alternative investment strategies.
Identify emerging investment opportunities and translate research insights into investable products and portfolio strategies.
Support the preparation of investment proposals, institutional mandates, and responses to Requests for Proposals (RFPs).
Investment Governance & Risk Management

Establish and enforce investment governance standards across all managed portfolios and investment products.
Participating in the firm's Investment Committee and related governance bodies.
Ensure that investment activities comply with regulatory requirements, internal risk policies, and fiduciary responsibilities.
Oversee investment performance measurement and ensure accurate performance attribution and benchmarking.
Supporting the continuous improvement of the firm's investment risk management framework.
Performance Measurement & Investment Accountability

Overseeing the firm's investment performance measurement framework
Evaluating portfolio performance relative to benchmarks, peer groups, and risk metrics
Conducting performance attribution analysis to assess sources of portfolio returns
Ensuring transparent communication of portfolio performance to internal and external stakeholders
Leadership & Talent Development

Mentoring and developing portfolio managers and research analysts
Promoting intellectual rigor, disciplined decision-making, and continuous learning within the investment team.
Supporting succession planning and capability development within the Asset Management & Research division.
CORE COMPETENCIES

Exceptional analytical and investment judgment
Deep understanding of multi-asset portfolio construction
Strong leadership and team development capabilities
Ability to synthesize complex information into clear investment insights
Strong written and verbal investment communication skills
High ethical standards and professional integrity
KNOWLEDGE, SKILLS

Strong analytic skills and an ability to balance risk/reward when evaluating investment opportunities.
Strong written and verbal communication skills and ability to effectively communicate investment philosophy, strategy and performance to internal and external clients
Demonstrated leadership capabilities and personnel management skills.
Ability to manage multiple priorities and work well with others.
Knowledge of the regulatory environment of the local securities dealing industry
Self-directedness and excellent interpersonal and team building skills
Networking and general business development capabilities
Expert knowledge of local, and global financial markets
Sound knowledge of applicable regulations with respect to investment management, and securities dealing
QUALIFICATION AND EXPERIENCE

Bachelor's degree in economics, Finance, Mathematics, Actuarial Science, Accounts or any other related discipline.
Graduate Level Degree in Finance (or related discipline), MBA and/or Chartered Financial Analyst (CFA®), Financial Risk Manager (FRM®) or Associate of Society of Actuaries (ASA®) Designations strongly preferred.
Minimum of Five (5) years' work experience in Treasury Management, Investment Research, Portfolio Management or Investment Banking.

Ref: VP-AMS-09-06-2026

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