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Fixed Income Investment Associate

ROY ASSET MANAGEMENT PTE. LTD.

Singapore

On-site

SGD 60,000 - 80,000

Full time

4 days ago
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Job summary

A leading fund management company in Singapore is seeking a driven professional to support fixed-income and macro strategies. This role offers a pathway into investment decision-making, requiring strong analytical skills and a proactive approach to portfolio management. Candidates should have relevant experience and a keen interest in systematic investing.

Qualifications

  • 3-5 years of relevant experience in risk management, trading support, or investment analysis.
  • Strong understanding of fixed income, FX, and derivative instruments.

Responsibilities

  • Support management of fixed-income and macro strategies.
  • Analyze structured positions across rates, options, and credit products.
  • Assist in scenario analysis and risk analytics.

Skills

Risk Management
Investment Analysis
Trading Support
Financial Modeling
Generative AI

Tools

Excel
Bloomberg
Python
VBA

Job description

Fund Management Company for a single office established in Singapore in 2019. We manage a wide range of investment strategies across asset classes.


Role Summary:
We are looking for a driven professional with around 3 years of experience in risk, trading support, or investment analysis—ideally with exposure to fixed income, FX, and derivative products. This role offers the opportunity to work closely with the Head of Fixed Income and transition into an investment role, with increasing responsibility over portfolio construction and idea generation.


Key Responsibilities:

  • Support the management of fixed-income and macro strategies, including duration, credit, convexity, volatility, and FX trades
  • Analyze and monitor structured positions across rates, options, credit products, and currencies
  • Assist in scenario analysis, curve and spread diagnostics, FX hedging, and risk analytics
  • Help evaluate and structure portfolios, working toward independent investment contribution
  • Collaborating on building portfolio tools and internal dashboards
  • Apply generative AI tools to accelerate research workflows, portfolio diagnostics, and documentation processes

Growth Path:

The role is designed as a pathway into investment decision-making, particularly for candidates with strong technical skills and a deep interest in investing systematically.


Requirements:

  • 3–5 years of relevant experience (e.g. risk management, structuring support, or trading desk analytics)
  • Strong understanding of fixed income, FX, and derivative instruments (e.g.duration, convexity, options, curve risk)
  • Familiarity with financial modeling and tools (Excel, Bloomberg; Python or VBA a plus)
  • Demonstrated ability or interest in using generative AI tools for investment analysis or reporting

Thoughtful, responsible, and eager to take on greater investment responsibility over time

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