Enable job alerts via email!

Portfolio Analyst

FINEXIS ASSET MANAGEMENT PTE. LTD.

Singapore

On-site

SGD 50,000 - 70,000

Full time

6 days ago
Be an early applicant

Job summary

A dynamic fund management company in Singapore is seeking a motivated Portfolio Analyst to enhance their investment decision-making. You will be responsible for monitoring portfolio performance, conducting quantitative research, and developing financial models. The ideal candidate has a strong foundation in finance with programming skills in Python and VBA. This role offers intensive on-the-job training and opportunities for personal growth.

Qualifications

  • 1–3 years of experience in portfolio analytics, investment, or a quantitative role.
  • Strong programming skills in Python and VBA.
  • Advanced knowledge of Microsoft Excel, including macros/VBA.

Responsibilities

  • Monitor and analyse portfolio performance including risk metrics and return attribution.
  • Build and maintain quantitative financial models using Python or Excel.
  • Prepare investment reports and dashboards for stakeholders.

Skills

Quantitative analysis
Attention to detail
Analytical thinking
Problem-solving

Education

Bachelor’s degree in Finance, Economics, Engineering, or Computer Science

Tools

Python
VBA
Excel
Bloomberg
Morningstar

Job description

ARE YOU SEEKING PERSONAL GROWTH AND CAREER DEVELOPMENT OPPORTUNITIES?

We are seeking a motivated and detail-oriented Portfolio Analyst with strong quantitative skills to support our investment team in portfolio construction, performance attribution, and financial model development. The ideal candidate will possess a strong foundation in finance and data analysis, with proficiency in VBA, Python, and Excel-based modelling tools to help enhance our investment decision-making processes.

HERE’S A SHORT INTRO TO OUR COMPANY

Finexis Asset Management (FAM) is a fund management company that holds a Capital Markets Services License to provide fund management services under the Securities and Futures Act, Singapore, regulated by the Monetary Authority of Singapore.

HOW IS LIFE GOING TO LOOK LIKE FOR YOU

You will be constantly riding steep learning curves to grow and thrive in a start-up environment. So, buckle up and be ready to give your 120%!

Intensive on-the-job training will be provided to set the right talents up for success and open up new areas of growth.

You will be working with a highly committed team who treat this career as entrepreneurs. We work hard, and we play harder! Behind our calm looks, you will be greeted with burning passion and loads of fun!

WE WILL EXPECT YOU TO:

  • Monitor and analyse portfolio performance, including risk metrics (e.g, VaR, volatility) and return attribution analysis.
  • Conduct peer allocation and performance review, leveraging on fund factsheets and Morningstar.
  • Build and maintain quantitative financial models to support portfolio optimization, scenario testing, and back testing strategies via Python or Excel.
  • Conduct quantitative research on asset allocation strategies, factor exposures, and market trends to identify opportunities and enhance portfolio return.
  • Participate in the investment committee process by providing data-driven insights and model outputs.
  • Develop and automate tools using Python, VBA, and Excel to improve investment reporting, data aggregation, and workflow efficiency.
  • Assist in data collection, cleansing, and integration from multiple sources (Bloomberg, custodian banks, fund administrators, internal systems).
  • Prepare investment reports, dashboards, and presentation slides for internal and external stakeholders.
  • Collaborate with compliance, operations, and IT teams to ensure model governance and data integrity and adherence to regulatory standards.

WHAT YOU NEED TO HAVE

  • Bachelor’s degree in Finance, Economics, Engineering, Computer Science, or a related quantitative discipline.
  • 1–3 years of experience in a portfolio analytics, investment, or quantitative role in a fund management or financial institution.
  • Strong programming skills in Python and VBA, with practical experience in automating financial models and reports.
  • Advanced knowledge of Microsoft Excel, including macros/VBA, and data visualization techniques.
  • Familiarity with portfolio theory, performance attribution methodologies (e.g. Brinson attribution), and risk analytics.
  • System knowledge such as Bloomberg or Morningstar is a plus.
  • Strong analytical thinking, attention to detail, and problem-solving skills.
  • Ability to communicate technical concepts clearly to non-technical stakeholders.

WHAT MAKES YOU STAND OUT?

  • Experience working with fixed income, equities, or multi-asset portfolios.
  • Progress toward CFA (Chartered Financial Analyst), FRM (Financial Risk Manager), or other relevant certifications is an advantage.
  • Experience with SQL, R, or Tableau/Power BI is a plus.

HOW TO APPLY

1. Click on the APPLY button below to send in your application

2. Click on the link provided below to complete a form:

https://tinyurl.com/FAMCareers2025Pt1

https://tinyurl.com/FAMCareers2025Pt2

(We regret that for applications sent in without submission of this form, your application will not be processed further.)

We look forward to meeting ambitious talents out there!

Finexis Asset Management

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.