Fund Manager
- Tiger Brokers
- Singapore, Singapore
- SGD 180,000 – SGD 300,000
SingaporeFull-timeFinance
Responsibilities
- Research and Analysis for development of Investment Strategy and determination of Asset Allocation for US/Global market
- Understanding of market colour and key investment trends
- Multi Asset selection: stocks, bonds, mutual funds, options, derivatives and structured deposits
- Portfolio Construction, Review & Rebalancing covering US market hours
- Risk Management & Performance Monitoring in strict adherence to client’s risk profile
- Order placement for the purpose of fund management for the following instruments: (i) Stocks, bonds, mutual funds, options, derivatives and structured deposits
- Meeting with HNW Clients (including Singapore Resident Clients) to: (i) Understand their investment objectives and risk tolerance of Clients (ii) Communicate investment strategies and portfolio performance managed by DPM and funds
Qualifications
- At least 8-10 years of relevant fund management experience at private bank, asset management or fund house in portfolio management
- Proven track record of portfolio management, with a deep understanding of financial instruments and their market dynamics.
- Familiarity with portfolio management tools such as Bloomberg
- Strong analytical skills and the ability to interpret complex financial data to make informed investment decisions
- Strong risk management culture and adaptable to environment
- Written and spoken English and Mandarin as you are required to work closely with our Chinese stakeholders based in our China office.
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Skills
- Portfolio Management
- Asset Allocation
- Equity Research
- Derivatives
- Risk Management
- Bloomberg
- Client Relationship Management



