Senior Quantitative Multi-Asset Portfolio Manager

Nomura

Singapore

On-site

SGD 250,000 - 500,000

Full time

6 days ago
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Job summary

Nomura is seeking an experienced Portfolio Manager with a strong quantitative background to manage multi-asset portfolios and develop proprietary investment models in Singapore. You will lead discretionary and systematic strategies across equities, fixed income, and alternatives, integrating signals and research into portfolio construction and risk management.

The role emphasizes hands-on portfolio management, back-testing of strategies, and collaboration with client-facing teams to support

Qualifications

  • Bachelor's degree in Finance, Economics, Mathematics, Statistics, Engineering, Computer Science or related quantitative field.
  • 10-15 years of experience in portfolio management, quantitative research, or investment analysis.
  • Proven track record managing multi-asset portfolios, preferably long-only global mandates.
  • Hands-on experience developing quantitative investment models or systematic strategies.
  • Strong understanding of portfolio construction, optimization, and risk management techniques.

Responsibilities

  • Portfolio Management & Investment Execution: manage discretionary portfolios across asset classes and implement discretionary, quantitative and systematic strategies.
  • Quantitative Investment Strategies: research, back-test and implement systematic investment strategies and risk frameworks.
  • Risk Management & Compliance: monitor portfolio risks and ensure adherence to risk guidelines and restrictions.
  • Research & Analysis: conduct quantamental research and prepare investment recommendations with risk-return analysis.
  • Client Support & Marketing: prepare investment pitch books and support relationship managers with portfolio content.

Skills

Python
R
MATLAB
Quantitative analysis
Portfolio management
Risk management
Excel

Education

Bachelor's degree in Finance, Economics, Mathematics, Statistics, Engineering, Computer Science or related quantitative field

Tools

Portfolio management systems
Order management platforms
Bloomberg
Excel

Job description

Nomura is seeking an experienced Portfolio Manager with a strong quantitative background to manage multi-asset portfolios and develop proprietary investment models in Singapore. You will lead discretionary and systematic strategies across equities, fixed income, and alternatives, integrating signals and research into portfolio construction and risk management.

The role emphasizes hands-on portfolio management, back-testing of strategies, and collaboration with client-facing teams to support

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