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求人ID : 1616044 更新日 : 2026年10月06日

PR/097739 | Portfolio Associate / Senior Associate

勤務地 シンガポール, Singapore
雇用形態 正社員
給与 経験考慮の上、応相談

募集要項

About the Opportunity

Our client is a globally recognised investment management firm with a strong presence across public and private markets. The organisation manages diversified investment strategies across fixed income, equities, multi-asset, and alternative investments, serving institutional and sophisticated investors worldwide.

Due to continued growth, they are looking to hire a Portfolio Associate / Senior Portfolio Associate to support portfolio management and investment operations teams in Singapore. This role offers extensive exposure to portfolio managers, traders, risk professionals, and investment specialists within a highly collaborative environment. 

Key Responsibilities

  • Support portfolio management activities across Equities, Emerging Markets, Multi-Asset and Alternative Investment strategies.

  • Monitor portfolio exposures, risks, and performance using portfolio analytics and risk management tools.

  • Work closely with portfolio managers and traders to ensure efficient portfolio implementation and rebalancing.

  • Monitor portfolios against client mandates, investment guidelines, and internal risk limits.

  • Assist with trade lifecycle management, including issue identification, escalation, and resolution.

  • Coordinate portfolio funding activities, account transitions, and cash flow management.

  • Conduct portfolio performance, attribution, and risk analysis.

  • Maintain portfolio data accuracy and support risk classification and reporting processes.

  • Drive process improvements through data analytics, automation, and AI-enabled tools.

  • Partner with Investment, Compliance, Operations, and Risk teams on portfolio and operational initiatives.

  • Provide ad hoc support for investment, trading, and portfolio management projects. 

Requirements

  • Bachelor's Degree in Finance, Economics, Mathematics, Engineering, Computer Science, or another quantitative discipline.

  • Approximately 3+ years of relevant experience within asset management, investment management, private banking, hedge funds, or financial services.

  • Strong understanding of investment products, including equities, fixed income, foreign exchange, and derivative instruments.

  • Experience supporting portfolio management, trading, fund operations, investment risk, or investment reporting functions.

  • Strong analytical and problem-solving skills with the ability to perform in a fast-paced environment.

  • Advanced Microsoft Excel skills.

  • Programming or data analytics experience in Python, SQL, VBA, Power BI, or similar tools would be advantageous.

  • Familiarity with automation, workflow enhancement, data visualisation, or AI-enabled productivity tools is highly desirable.

  • Good understanding of portfolio construction, portfolio risk concepts, and investment markets.

  • Excellent communication and stakeholder management skills.

  • Ability to support regional market coverage, including occasional early morning schedules when required. 

 

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応募必要条件

職務経験 3年以上
キャリアレベル 中途経験者レベル
英語レベル ネイティブ
日本語レベル 無し
最終学歴 短大卒: 準学士号
現在のビザ 日本での就労許可は必要ありません

勤務地

  • シンガポール, Singapore

労働条件

雇用形態 正社員
給与 経験考慮の上、応相談
業種 銀行・信託銀行・信用金庫

職種