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Investment Manager

SINGAPORE LINYANG ENERGY TECHNOLOGY PTE. LTD.

Singapore

On-site

SGD 100,000 - 125,000

Full time

Today
Be an early applicant

Job summary

A leading energy solutions provider in Singapore is seeking an Investment Manager to develop strategies in public markets and manage investment portfolios. Ideal candidates should possess strong analytical skills, with a background in finance or related fields. Experience in investment and trading is essential, complemented by mandarin skills. This position is located in Singapore CBD with flexible working hours and competitive benefits.

Benefits

Flexible working hours
21 days leaves
AWS + flexible benefits

Qualifications

  • Proven experience in investment, trading, equity research, or deal evaluation.
  • Minimum handled AUM scope: USD 30 million.
  • Mandarin proficiency is a strong plus.

Responsibilities

  • Develop investment strategies across public markets.
  • Track market developments in real time.
  • Manage end-to-end execution including capital allocation.

Skills

Analytical skills
Decision-making skills
Execution capability
Communication skills

Education

Bachelor’s degree or above in Finance, Economics, Accounting

Tools

Portfolio management tools
Research tools
Job description
About the Company:

Linyang Energy is a publicly listed high-tech enterprise and a global leader in smart energy solutions, founded in 1995 in China. We specialize in smart metering, energy storage, photovoltaic systems, and integrated energy management. With over 150 million smart devices deployed and more than 5GW of photovoltaic power stations constructed, our technologies power energy systems across five continents.

As part of our international growth strategy, we have established our Singapore office as the regional headquarters to support business operations across Southeast Asia, the Middle East, Australia, and other global markets. Singapore serves as a strategic base for delivering innovative energy solutions, financial hub and enabling seamless global collaboration.

Join us in shaping the future of digital energy and accelerating the global transition to a smarter, greener world.

About the Role:

We are seeking a versatile and driven Investment Manager to join our investment team. The ideal candidate will take on a trader-focused function, with exposure to secondary market (public equities) opportunities. This role requires strong market acumen, execution capability, and a proactive attitude in identifying and managing investment opportunities. We’re looking for a versatile self-starter with deep market intuition, crisp trade execution, and a proactive eye for opportunities end-to-end—from idea to position management. Experience in portfolio management is a plus.

Key Responsibilities:

Formulate Investment Strategies
Develop investment strategies across public markets based on macro trends, sector dynamics, and company fundamentals. Construct and optimize portfolios aligned with performance goals.

Market Monitoring and Research
Track market developments in real time; update views and positions in response to volatility or emerging risks. Evaluate listed companies’ financial/operational performance using both qualitative and quantitative inputs.

Portfolio and Trade Management
Manage end-to-end execution, including capital allocation, order placement, entry/exit timing, risk controls, liquidity planning, and clear stop-loss/rebalancing thresholds. Target AUM scope: USD 30–100 million.

Reporting and Strategic Support
Prepare regular investment reports/dashboards covering performance attribution, rationale, risk assessments, and forward outlook.

Collaboration and External Engagement
Partner with internal research/investment teams; engage brokers, fund houses, and market counterparties to expand insights and access.

Support ad-hoc initiatives such as process/SOP improvements, broker/platform onboarding, tool/report automation, special research deep dives, and other assignments as needed by management.

Requirements:
  • Bachelor’s degree or above in Finance, Economics, Accounting, or related disciplines.
  • Proven experience in investment, trading, equity research, or deal evaluation (public markets exposure preferred).
  • Minimum handled AUM scope: USD 30 million (direct portfolio ownership or clear P&L accountability).
  • Strong analytical, execution, and decision-making skills; clear written/oral communication.
  • Mandarin proficiency is a strong plus due to market and communication needs.
  • Prior portfolio management experience is a plus.
  • CFA or relevant licenses/certifications (e.g., CMFAS/Fund/Securities Practitioner) are advantageous.
  • High attention to detail, ethical conduct, and ability to perform under pressure.
What's in for you:
  • Prime location: Singapore CBD, full onsite
  • Work hours: 9:00 am to 5:30 pm, Flexible working hours
  • Leaves: 21 days
  • Rewards: AWS + flexible benefits
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