Portfolio Manager / Analyst

The Company

A highly reputable asset management firm of more than USD500 billion AUM, they have been in Singapore for more than a few decades. With a global coverage, they are an excellent organisation in terms of career progression.

The Role

Reporting to the Head of Fixed Income, you will be looking to manage performance and risk associated to a Fixed Income portfolio. Your main coverage will be sovereign government bonds curve with FX responsibilities. You will participate in company-wide asset allocation and help company achieve its objectives to provide stable outperformances. For the Analyst position, you will be conducting sovereign and FX macro research and assist the fund manager. You will be assigned to specific countries for in-depth analysis.

Your Profile

Portfolio Manager - You have at least 5 years of experience, with about 2 to 3 years in risk taking and have a track record in outperformances. For the Analyst position, you have about 2 to 3 years of experience in macro research, general economics and interest rates. Having a CFA/MBA or any professional investment qualification will be held in high regards.

Apply Today

To apply online (Word attachments only), please click the 'Apply' button for ref no: SL10223. Please note that only short-listed candidates will be contacted.

May 3, 2013 • Tags: , • Posted in: Financial

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