Fixed Income Portfolio Manager

Allspring Global Investments

Singapore

Hybrid

SGD 250,000 - 450,000

Full time

7 days ago
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Job summary

Allspring Global Investments invites a senior Portfolio Manager to lead Asian macro strategy, focusing on rates and FX across Asian markets. Based in Singapore, you will generate ideas, manage regional risk, and execute trades while collaborating with global teams to translate views into client outcomes.

Responsibilities include strategy input, risk oversight, and performance attribution, with strong emphasis on communication to clients and consultants.

Qualifications

  • 5–10+ years of portfolio management and macro strategy experience with Asian markets.
  • Proven track record in generating positions with risk-aware decisions.
  • Deep knowledge of Asian fixed income and currency markets, central bank dynamics.
  • Strong portfolio construction and risk management capabilities, including scenario analysis.
  • Able to present investment views clearly to clients, prospects, and senior partners.
  • Advanced proficiency in Bloomberg, Excel, and PowerPoint.

Responsibilities

  • Assume direct portfolio management responsibility for Asian macro exposures across rates and FX, including idea generation and trade execution.
  • Lead regional input into portfolio strategy and asset allocation discussions.
  • Manage and monitor regional risks, scenario analysis, liquidity considerations, and attribution.
  • Identify relative-value opportunities across yield curves, currencies, and cross-markets, collaborating with analysts.
  • Build and refine analytical tools and processes to strengthen portfolio construction and risk-adjusted returns.
  • Represent the team’s views in client meetings, prospect discussions, and consultant reviews.
  • Operate in a collaborative environment with peers and stakeholders.
  • Maintain effective communication with audiences in person and remotely.

Skills

Portfolio management
Macro strategy
Rates trading
FX trading
Risk management
Client communication

Education

Undergraduate degree in economics/finance
Graduate degree preferred

Tools

Bloomberg
Excel
PowerPoint

Job description

Overview

Join the $56 billion Global Fixed Income team as a Portfolio Manager with responsibility for leading Asian macro strategy and portfolio positioning across Asian interest rates and foreign exchange, including trading. This is a senior investment role with clear accountability for generating differentiated ideas, managing regional risk, trade execution, and influencing portfolio construction across global government and multi-sector fixed income strategies.

Based in Singapore and reporting to the Head of Global Macro Strategy, the individual will work closely with global fixed income portfolio managers, traders, and analysts based in the US and Europe to translate regional market views into positive portfolio outcomes for our clients. The ideal candidate will also have experience communicating investment views to clients, prospects, and consultants to support asset growth and reinforce Allspring’s position as a leading global fixed income manager.

We currently operate in a hybrid working model, whereby you will be required to work in-office 4 days per week.

Location(s): Singapore

Responsibilities
  • Assume direct portfolio management responsibility for Asian macro exposures across rates and foreign exchange, including idea generation, trade execution, position sizing, and ongoing risk oversight.
  • Lead regional input into portfolio strategy and asset allocation discussions by presenting high-conviction views on central banks, inflation, growth, policy developments, valuations, and market technicals across Asia.
  • Manage and monitor regional risks, scenario analysis, liquidity considerations, and performance attribution to ensure positions are aligned with portfolio objectives and risk parameters.
  • Identify relative-value and directional opportunities across yield curves, duration, currencies, and cross-market relationships, and partner with analysts and portfolio managers on efficient implementation.
  • Build and refine analytical tools, market frameworks, and decision-support materials that strengthen portfolio construction, improve risk-adjusted returns, and enhance the team’s macro investment process.
  • Represent the team’s investment views externally through client meetings, prospect discussions, consultant reviews, written commentary, and presentation materials, with a focus on supporting and growing assets under management.
  • Remain in stationary position for prolonged periods of time
  • Operate computer programs and software
  • Ability to communicate effectively with audiences in person and in electronic formats
  • Day-to-day contact with others (co-workers and/or public)
  • Ability to work in a collaborative business environment in close quarters with peers and varying interruptions.
Qualifications
Required Qualifications
  • 5-10+ years of relevant experience in portfolio management, macro strategy, rates and FX trading, or a related institutional fixed income role, with meaningful experience covering Asian markets.
  • Demonstrated track record of generating and managing investment positions across interest rates and foreign exchange, including clear evidence of portfolio impact and risk-aware decision-making.
  • Deep knowledge of Asian developed and emerging market fixed income and currency markets, including central bank frameworks, fiscal and external dynamics, local market structure, and the principal drivers of cross-market performance.
  • Strong portfolio construction and risk management capabilities, including position sizing, relative-value analysis, scenario analysis, stress testing, liquidity assessment, and performance attribution.
  • Ability to present investment views with conviction and clarity in portfolio meetings and to communicate effectively with clients, prospects, consultants, and senior business partners.
  • Advanced proficiency in Bloomberg, Excel, and PowerPoint, with strong technical aptitude and comfort working across portfolio analytics, risk systems, and market data tools.
  • Undergraduate degree in economics, finance, mathematics, statistics, or a related discipline.
Preferred Qualifications
  • Graduate degree in economics, finance, public policy, or a related field.
  • CFA designation or progress towards attaining the CFA designation.
  • Established client-facing experience, including participation in business development, consultant presentations, and senior institutional client dialogue.
  • Programming experience in Python or a similar language, and familiarity with derivatives, local market conventions, and execution practices across Asian fixed income and FX markets.
  • Demonstrated ability to apply AI tools to enhance portfolio outcomes through process improvements and insight generation.
Please note

This position does not offer sponsorship for employment visas. Applicants must be legally authorized to work in The United States without sponsorship now or in the future.

Compensation
Disclosure

We are an Equal Opportunity/Affirmative Action Employer. We consider all qualified applicants for employment regardless of age, race, color, national origin, sex, religion, veteran status, disability, sexual orientation, gender identity, or any other protected status

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