Play a key role in determining appropriate investment strategies and generating investment ideas for the portfolio.
Responsible for establishing funds which are more Fixed income related.
Keep abreast of market trends and risks that could affect the fund performance. Implement effective daily operational controls and processes for managing of the fund.
Present investment ideas and report the performance of the portfolio to the investment committee and work closely with risk and compliance teams to ensure all policies and regulatory requirements are complied with.
The role is based in Singapore.
Requirements:
A master degree with an emphasis in Finance and Economics or an equivalent advanced degree preferred
CFA, FRM and/or CAIA designations are highly desirable
At least 5 years of Fixed Income portfolio management experience
Outstanding commercial acumen, presentation, verbal, and strong written skills in English and Chinese as you will be required to liaise with Chinese speaking clients
Outstanding influencing and interpersonal skills can communicate effectively with multi-functional/ cross-regional teams and with senior management; Ability to exercise independent judgement and discretion.
Result oriented, dedicated, hardworking and can work on own initiative whilst also working collaboratively and deliver on time with a high level of integrity, sense of urgency, attention to detail and quality standards