Global Multi-Asset Portfolio Manager

Nanyang Technological University Singapore

Singapore

On-site

SGD 180,000 - 280,000

Full time

10 days ago
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Job summary

NTU Investment Office at Nanyang Technological University Singapore seeks an experienced Portfolio Manager/Analyst to oversee a multi-asset fund spanning credit, equities and hedge funds. The role includes building a framework to outperform benchmarks, performing investment research and due diligence, and guiding asset allocation with disciplined risk control.

You will interact with global managers and senior leaders, translating convictions into actionable investment plans while navigating

Qualifications

  • At least 5-10 years in Fixed Income, Hedge Funds, Equities, Private Markets or investment banking.
  • Demonstrates knowledge and understanding of business fundamentals, financial analysis and asset valuations.
  • Proficient in economics, financial modelling, statistical analysis and investment research tools.
  • Excellent oral and written skills are required for communicating investment proposals.
  • Possesses at least a bachelor’s degree in sciences, mathematics, finance or economics.

Responsibilities

  • Manage or co-manage the investment fund’s multi-asset portfolio across credit, equities and hedge funds.
  • Develop a structured investment framework to generate excess returns over benchmark while managing risks.
  • Conduct research and due diligence on potential investments.
  • Guide asset allocation decisions and oversee trade execution.
  • Monitor investment performance and adjust strategies as needed.

Skills

Financial analysis
Asset valuations
Economic understanding
Statistical analysis
Investment research tools
Oral and written communication

Education

Bachelor’s degree in sciences, mathematics, finance or economics

Tools

Financial modelling

Job description

NTU Investment Office at Nanyang Technological University Singapore seeks an experienced Portfolio Manager/Analyst to oversee a multi-asset fund spanning credit, equities and hedge funds. The role includes building a framework to outperform benchmarks, performing investment research and due diligence, and guiding asset allocation with disciplined risk control.

You will interact with global managers and senior leaders, translating convictions into actionable investment plans while navigating

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