Wealth Management Portfolio Manager

ubs ag

Singapore

On-site

SGD 120,000 - 180,000

Full time

10 days ago
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Job summary

UBS AG in Singapore is seeking a portfolio manager for a 2-month assignment to support fixed income portfolio construction and client-ready presentations using UBS tools. You will apply subject-matter expertise, adapt global workflows to Singapore's regulatory framework, and share best practices with colleagues worldwide to scale the offering for sophisticated APAC clients.

Strong background in fixed income, CFA, and VBA/Python will help you deliver data-driven insights to client advisors and

Qualifications

  • 3 years of experience in Fixed Income Portfolio Management.
  • Master’s degree with a focus on banking; CFA certification.
  • Exposure to Fixed Income Portfolio Management.
  • Proficient in VBA and Python for data-driven analyses.
  • Organized and outcomes-focused professional.

Responsibilities

  • Apply subject-matter expertise to product development and portfolio management.
  • Leverage UBS tools to build client-ready fixed income presentations.
  • Adapt UBS workflows to Singapore's regulatory framework for compliant client interactions.
  • Share best practices in fixed income portfolio construction and risk management globally.
  • Contribute to developing a scalable fixed income offering for APAC clients.

Skills

Fixed Income Portfolio Management
Organized

Education

Master’s degree focused on banking
CFA certified

Tools

VBA
Python

Job description

This is a short-term role for 2 months

Your role

Do you want to play a part in making investment decisions that benefit our UBS clients?

We’re looking for a portfolio manager to:

  • Apply subject-matter expertise to product development and portfolio management.
  • Fully leverage our UBS tools to build data-driven, client-ready fixed income presentations and support business growth.
  • Adapt UBS global tools to use cases, materials, and workflows to Singapore’s legal and regulatory framework, ensuring compliant and locally relevant client interactions.
  • Exchange best practices in fixed income portfolio construction and risk management between colleagues globally to enhance the scalability of our offering.
  • Contribute to the development of a scalable, customized fixed income offering tailored to the needs of sophisticated APAC clients.
Your team

You’ll be working in the Fixed Income Portfolio Management team in Singapore, we jointly support our clients with client advisors. You'll play an important role in the implementation and management of investment portfolios, helping us grow our clients’ wealth.

Your expertise
  • 3 years of experience in Fixed Income Portfolio Management
  • Master’s degree with a focus on banking and CFA certified
  • Previous exposure to Fixed Income Portfolio Management
  • Proficient computer skills, including VBA & Python
  • organized and focused on outcomes
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