Lowongan Kerja BNI Asset Management

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BNI Asset

Lowongan Kerja BNI Asset Management

About PT. BNI Asset Management

PT BNI Asset Management – BNI AM is one of the pioneers in global Investment Management who have obtained a license as an Investment Manager of Bapepam (now FSA) on October 23, 1995, currently has a Fund of ± Rp 9 trillion. With the support of qualified human resources, the current PT. BNI Asset Management are in the top ten positions Investment Manager in Indonesia.

With synergy strong group of Bank BNI, Bank BNI Syariah, Insurance BNI Life, BNI Securities, BNI Pension Fund and BNI Multifinance and support of the full of the majority shareholder of BNI Securities that have a strategic partnership with SBI Securities Japan, PT BNI Asset Management believes can realize our vision as the Company’s Investment Manager in Indonesia and the option to develop and market innovative products to the region “ASEAN Plus Three” especially Japan.

Until now PT BNI Asset Management has been managing the Mutual Fund with a complete range of products such as the following:

Money Market Mutual Funds
An Investment Fund that invests 100% in Money Market Securities are debt securities with a maturity of not more than one year. Money Market Fund is a mutual fund that has the lowest risk but also provide a limited return.

Fixed Income Fund
Is the Fund invests at least 80% of the portfolio under its management to the Debt Securities. Higher investment risk than Money Market Fund made a return value for Mutual Funds of this type were also higher but remains lower than the Balanced Fund or Shares.

Equity Fund
Is the Fund invests at least 80% of the portfolio under management in equity securities. Equity Securities generally provide the potential for higher returns in the form of capital gains through growth in stock prices and dividends. Equity Fund provides the potential growth of the investment value as well as the greatest risk.

Balanced Fund
A mutual fund to invest in Equity and Debt Securities. Potential yield and risk balanced fund can theoretically be greater than the Fixed Income Fund but smaller than Equity Fund.

Protected Fund
Protected Fund, has a special feature to the mechanism of protection (but not the guarantee of the Investment Manager and other third party) of the principal amount of the initial investment, if no event of default on an instrument or issuer issuer of debt that is used or parties involved in the investment portfolio of products this. Protected Fund generally categorized as low to medium investment risk and are generally used for medium and long-term investment. In addition to that is plain vanilla (100% of the portfolio underlying the basis of protection), Mutual Funds of this type can also be Protected Fund with the composition of a minimum of 70% base protection and components Enhancer (maximum 30% of the portfolio), which may include equities, bonds and derivative instruments both within and outside the country.

Limited Investment Mutual Funds
Mutual Funds are used to collect funds from the Professional Investors, who subsequently invested by the Investment Manager or the portfolio securities portfolio directly related to the project, eg Real Sector, infrastructure, and others. Unit Investment Fund Contracts Collective Investment Limited Investment is only offered on a limited basis only to Professional Investors and prohibited offered through a Public Offering and or prohibited owned by less than 50 (fifty) Parties.

Fund Management Contract (KPD)
Fund Management Contract (KPD) is the management of securities portfolios for the benefit of certain investors by fund management agreements are bilateral and individual either individuals or legal entities. The amount of funds under management at least the beginning of Rp 10,000,000,000.00 (ten billion rupiah)

Mutual Funds Sharia
Mutual Funds can be all over the management and investment policies referring to Islamic law where its implementing regulations, how, and business activities in the contract on which the publication does not conflict with Sharia Principles in Capital Market. Sharia Principles in Capital Market are the principles of Islamic law in the activities in the field of capital market based DSN-MUI fatwa.

BNI Asset
www.bni-am.co.id

Contact PT BNI ASSET MANAGEMENT
Chase Plaza Lantai 6
Jalan Jend. Sudirman Kav 21
Jakarta 12920
T. +62-21 2996 9646 (Hotline)
F. +62-21 2996 9647
E. helpdesk@bni-am.co.id

Jobs Available

PT BNI Asset Management invites qualified candidates to fullfill the position as follows :

  • Relationship Officer

Job Description

Requirements :

  • Minimum D3
  • Fresh graduate, preferably already experienced at least 1 year as a Relationship Officer or Sales in the financial services field
  • Preferably with permission WAPERD / WPPE
  • Highly motivated, proactive and target oriented
  • Honest and have good communication skills

Sites Reference

  1. www.bni-am.co.id

Submit Application

Please register and submit your application directly through Jobstreet’s system at BNI Asset Management – Jobstreet :

Notes

  • Your application will be kept as strictly confidential.
  • Only short-listed candidates will be invited for selection and interview.

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