Associate Portfolio Manager

Location: Singapore (Hybrid)

Responsibilities

  • Responsible for daily bond investments, execution, and reporting
  • Perform research & analysis, compile reports on market conditions, trends etc.
  • Proactively contribute to the investment process to both reduce transaction costs and identify alpha opportunities, while enhancing access to market liquidity
  • Ensure compliance with internal policies and relevant regulatory requirements
  • Provides quarterly analysis of portfolio activities and performance and constantly look at ways to improve investment processes
  • Maintain good relationship with banks, brokers, and traders in other financial institutions to facilitate trading activities

Requirements

  • Bachelor’s Degree in Finance/ Economics/ Mathematics/ Statistics or equivalent, professional qualifications of CFA, FRM, with at least 5 years’ of relevant working experiences in a Global Bank/Fund Management Firm/Hedge Fund
  • Trading experience in equity markets/bonds is essential for the role
  • Effective communication skills and demonstrated the ability to work with multiple partners and stakeholders

From Asia to Global, Traditional to Innovative