Portfolio Manager

InforCapital, partnership

Singapore

On-site

SGD 80,000 - 120,000

Full time

14 days+

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Job summary

InforCapital, partnership in Singapore is looking for a Portfolio Manager to oversee investment portfolios across various asset classes. You will be responsible for developing investment strategies and ensuring alignment with regulatory requirements.

The ideal candidate has at least 5 years of investment experience, strong knowledge of financial markets, and proficiency in tools such as Bloomberg. This role offers a senior level position within a well-established asset management firm.

Qualifications

  • Minimum 5 years of relevant investment experience with a track record in portfolio management.
  • Strong knowledge of financial markets, asset classes, and investment instruments.
  • Proven ability in portfolio construction and risk management.

Responsibilities

  • Manage and oversee investment portfolios across asset classes.
  • Conduct in-depth fundamental and quantitative research.
  • Engage with clients on portfolio updates and investment outlooks.

Skills

Portfolio management
Risk management
Financial modeling
Valuation techniques
Investment strategy development

Education

Bachelor's degree in Finance, Economics, Accounting, or related discipline
Master's preferred

Tools

Bloomberg
FactSet

Job description

# Portfolio ManagerConfidential CompanyManagerMulti-AssetFull-timeLocationSingapore, SingaporeDate PostedMay 11, 2026Stay ahead of the marketGet instant notifications when new job openings matching "Multi-Asset / Manager jobs in Singapore, Singapore" are published.## About This RoleA well-established asset management company in Singapore is seeking a Portfolio Manager to oversee investment portfolios across asset classes, drive performance in line with mandate objectives, and contribute to the firm's overall investment strategy.This is a senior investment role requiring a minimum of 5 years of relevant investment experience and a proven track record in portfolio management. The firm manages institutional and high-net-worth client portfolios across equities, fixed income, multi-asset, and alternative strategies.Key Responsibilities:Manage and oversee investment portfolios including equities, fixed income, multi-asset, and alternatives in accordance with mandate guidelines. Develop and implement investment strategies covering asset allocation, security selection, and portfolio construction. Conduct in-depth fundamental and/or quantitative research on markets, sectors, and individual securities. Monitor market trends, macroeconomic developments, and geopolitical events to identify investment opportunities and risks. Execute trades and manage portfolio risk exposure, ensuring alignment with internal risk limits and regulatory requirements. Perform portfolio performance analysis, attribution, and reporting to internal stakeholders and clients. Collaborate with analysts, traders, and risk/compliance teams to ensure effective investment decision-making. Engage with clients, distributors, and stakeholders on portfolio updates and investment outlooks. Ensure compliance with regulatory requirements including MAS regulations and internal investment policies. Contribute to new product development including fund launches such as VCC structures and new strategies.Requirements: Bachelor's degree in Finance, Economics, Accounting, or related discipline (Master's preferred). Minimum 5 years of relevant investment experience with a track record in portfolio management. Strong knowledge of financial markets, asset classes, and investment instruments. Proven ability in portfolio construction and risk management. Proficiency in financial modelling, valuation techniques, and investment tools such as Bloomberg and FactSet.Apply for this Position
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