PT Panin Asset Management

PT Panin Asset Management

  • Lokasi Kerja:
  • Kategori:
    Banking & Financial Services, Fresh Graduate, Sarjana (S1)Banking & Financial Services, Fresh Graduate, Sarjana (S1)
  • Jenis Pekerjaan:
    Full Time
  • Jenjang Pendidikan:
    Sarjana (S1)
  • Pengalaman Kerja:
    Fresh Graduate
  • Diperbarui:

Panin Asset Management adalah perusahaan pengelola aset terkemuka yang berspesialisasi pada instrumen saham, obligasi dan pasar uang di Indonesia yang telah berpengalaman mengelola reksa dana sejak tahun 1997.

Kemampuan pengelolaan dana Panin Asset Management juga telah mendapat pengakuan sebagai salah satu yang terbaik di Indonesia, terbukti dari berbagai penghargaan yang diterima secara konsisten sejak tahun 2002 hingga sekarang, seperti Reksa Dana Tertinggi, Terbaik, Terfavorit, dan sebagainya.

Alamat: Indonesia Stock Exchange Building, Tower II, L.11, Suite 1104, Jl. Jend. Sudirman kav 52-53, RT.5/RW.3, Senayan, Kec. Kby. Baru, Kota Jakarta Selatan, Daerah Khusus Ibukota Jakarta 12190

Lowongan Kerja PT Panin Asset Management

Perusahaan ini sedang membuka lowongan kerja untuk posisi berikut:

1. Relationship Manager

What you’ll be doing:

  1. Proactively engage with clients to understand their financial goals and investment needs
  2. Develop and implement tailored investment strategies to meet client objectives.
  3. Develop and maintain partnerships with mutual fund distribution partners (APERD) to achieve business growth targets.
  4. Provide regular updates and reviews to ensure clients are informed about the performance of their investments.
  5. Identify and pursue new partnership opportunities within the financial services sector.
  6. Collaborate with internal teams, such as portfolio managers and operations, to deliver a seamless client experience.
  7. Maintain accurate records and documentation to ensure compliance with relevant regulatory requirements in mutual fund distribution.
  8. Represent the company in meetings, presentations, and events with professionalism.

What we’re looking for:

  • Bachelor’s degree in Economics, preferably majoring in Accounting, Management, or Finance
  • Minimum 2 years’ experience in the financial services industry, preferably in banking or asset management. Experience in Wealth Management and/or mutual fund distribution partnerships is an advantage.
  • Strong communication skills (verbal & written) and proficiency in English is a plus.
  • Proven negotiation skills with the ability to maintain strong relationships with external partners.
  • Excellent presentation skills with the ability to convey ideas clearly and persuasively.
  • Strong understanding of mutual fund products, distribution mechanisms, and relevant regulations (e.g., OJK regulations on APERD and mutual funds).
  • Self-motivated, proactive, and able to work both independently and as part of a team.
  • Professional certification such as WAPERD or other relevant capital market certifications is preferred.
  • Willing to travel for business purposes when required.
  • Well-groomed, presentable, and able to represent the company’s professional image.

 

2. Risk-Governance (Entry Level)

What you’ll be doing

  1. Support the development, maintenance, and reporting of the company’s Operational Risk Register.
  2. Assist in maintaining and updating internal SOPs and governance documentation.
  3. Provide operational support for Data Privacy Protection initiatives, including ROPA and DPIA, as well as ISO 9001:2015 implementation.
  4. Coordinate and report on CSR and ESG-related programs in collaboration with relevant internal and/or external teams.
  5. Participate in Business Continuity Plan (BCP) simulations and contribute to related documentation and follow-up actions.
  6. Help prepare and organize risk monitoring documentation and reports for internal stakeholders and regulatory bodies.

What we’re looking for

  • Bachelor’s degree in Finance, Management, Accounting, Business Law, or related fields
  • 1–2 years of experience in risk, governance, ISO, SOP documentation, or other GRC-related roles (fresh graduates are welcome to apply)
  • Basic understanding of risk management, governance, data protection, and capital market, especially mutual funds
  • Strong interest in deepening knowledge of capital market regulations and the technical aspects of investment management
  • Detail-oriented, with excellent documentation and communication skills
  • Able to work across departments and manage multiple tasks effectively

Placement: Head Office – Gedung Bursa Efek Indonesia Tower 2 Lt.11 Suite 1104, Jl. Jend. Sudirman kav 52-53 RT.5/RW.3 Senayan, Kecamatan Kebayoran Baru, Jakarta Selatan 12190

 

Waspada penipuan berkedok lowongan kerja, seluruh proses seleksi tidak dipungut biaya. Jangan sampai Anda tertipu! Gabung Telegram Butuh Kerja: https://t.me/butuhkerjaid