Associate Director of Real Estate Portfolio Management

20 hours ago


Hong Kong Island, Hong Kong SAR China Guotai Junan (Hong Kong) Limited Full time

As a Responsible Officer (RO) for Type 9 licensed activities including virtual assets portfolio management, you will be specifically responsible for virtual asset (VA) portfolio management activities. You will lead a team and oversee VA fund operations, ensure regulatory compliance, and implement robust risk frameworks to navigate complex market cycles. Key Responsibilities Regulatory Leadership: Participate in SFC Type 9 license uplifting for VA portfolio management, ensuring adherence to SFC guidelines and ongoing compliance. Portfolio Management: Manage VA investment strategies (mainstream assets/derivatives), including fund structuring, risk mitigation, and performance analysis. Compliance & Risk Governance: Develop and enforce institutional‑grade VA compliance policies, trading protocols, and operational resilience frameworks. Stakeholder Engagement: Liaise with SFC, auditors, and internal teams to align VA activities with regulatory expectations and commercial objectives. Market Cycle Management: Apply proven strategies to navigate ≥2 full VA market cycles, emphasizing capital preservation during volatility. Job Requirements Minimum 3 years of dedicated virtual asset experience in fund management, proprietary trading, or dealing (e.g., cryptocurrencies, tokenized assets, VA derivatives). Exposure to ≥2 full VA market cycles with demonstrable risk management outcomes. Prior RO status (SFC Type 9) preferred but not mandatory; candidates without RO history must show deep VA regulatory aptitude. Regulatory & Compliance : Impeccable regulatory track record (exclusion: history of non‑compliance). Skills & Aptitude: Resilience : Proven ability to manage VA portfolios through high volatility and market stress. Commercial Acumen : Pragmatic approach to balancing innovation, cost efficiency, and regulatory rigor. Compliance Mastery : Ability to design audit‑ready VA workflows and documentation. Bachelor’s degree in Finance, Law, Economics, or related field; advanced degrees (e.g., CFA, FRM) advantageous. Fluency in English and Chinese (written/spoken); proficiency in Mandarin highly preferred. Exclusion Note Candidates with prior regulatory breaches (SFC, HKMA, or global equivalents) will not be considered. Compensation & Application We offer an attractive remuneration package and fringe benefits to the right candidate. Interested applicants please send a detailed resume stating present and expected salaries, as well as date of availability, by clicking "Apply" or by sending it to (Data collected will be kept strictly confidential and used for recruitment purpose only.) Guotai Junan International (Stock Code: 1788.HK) Guotai Junan International is the first Chinese securities company listed on the Hong Kong Stock Exchange by way of IPO. Based in Hong Kong, we provide diversified financial services including wealth management, brokerage, corporate finance, loans and financing, asset management and financial products. Through the systematic management and training, you will have the opportunity to maximize your talents on our board platform and empower your future with GTJAI. #J-18808-Ljbffr



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