Fund Manager

Tiger Brokers (Singapore) Pte Ltd

Singapore

On-site

SGD 180,000 - 240,000

Full time

47 hours ago
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Job summary

Tiger Brokers (Singapore) Pte Ltd in Singapore seeks a seasoned fund manager to research and develop investment strategies, determine asset allocation for US/global markets, and oversee multi-asset selections.

You will conduct portfolio construction, rebalancing during US market hours, monitor risk, and meet with HNW clients to align objectives with strategies implemented by DPM and funds.

Qualifications

  • 8–10 years of fund management experience in private banks, asset managers or fund houses.
  • Proven track record in portfolio management with strong market knowledge.
  • Familiarity with portfolio management tools such as Bloomberg.
  • Strong analytical skills to interpret complex financial data.
  • Strong risk management culture; adaptable to environment.
  • Proficient in written and spoken English and Mandarin for China office cooperation.

Responsibilities

  • Research and analysis for asset allocation for US/global markets.
  • Understand market colour and key investment trends.
  • Multi-asset selection: stocks, bonds, mutual funds, options, derivatives and structured deposits.
  • Portfolio construction, review, and rebalancing during US market hours.
  • Risk management and performance monitoring per client risk profile.
  • Place orders for fund management across listed instruments.
  • Meet with HNW clients to understand objectives and communicate strategies and performance.

Skills

Portfolio management
Analytical skills
Risk management
English and Mandarin
Stakeholder communication

Tools

Bloomberg

Job description

SingaporeFull-timeFinance

Responsibilities

1. Research and Analysis for development of Investment Strategy and determination of Asset Allocation for US/Global market2. Understanding of market colour and key investment trends3. Multi Asset selection: stocks, bonds, mutual funds, options, derivatives and structured deposits4. Portfolio Construction, Review & Rebalancing covering US market hours5. Risk Management & Performance Monitoring in strict adherence to client’s risk profile6. Order placement for the purpose of fund management for the following instruments:(i) Stocks, bonds, mutual funds, options, derivatives and structured deposits7. 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

1. At least 8-10 years of relevant fund management experience at private bank, asset management or fund house in portfolio management2. Proven track record of portfolio management, with a deep understanding of financial instruments and their market dynamics.3. Familiarity with portfolio management tools such as Bloomberg4. Strong analytical skills and the ability to interpret complex financial data to make informed investment decisions5. Strong risk management culture and adaptable to environment6. 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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