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Portfolio Manager

Job title: Portfolio Manager
Location: Singapore
Specialisation: Banking & Financial Services / Insurance
Salary: SGD 180,000 - 216,000 (Annual)
Reference: PR/097052
Job published: May 12, 2026 09:59
Work Arrangement: Onsite

Company Overview

A company in the asset management industry is hiring for a Portfolio Manager position. This is an opportunity to be part of a dynamic investment team focused on managing ETF and fixed income strategies, where you will contribute to portfolio construction, investment decision-making, and market analysis within a disciplined investment framework.

Job Description

  • Manage ETF and fixed income portfolios, including portfolio construction, credit analysis, duration management, yield curve positioning, and ongoing monitoring to ensure alignment with investment objectives.

  • Develop and implement investment strategies across fixed income portfolios and ETF products, supported by thorough market, macroeconomic, rates, credit, and index research.

  • Drive investment decisions through risk-return assessments, security selection, portfolio implementation, and rebalancing activities where required.

  • Prepare investment reports, performance reviews, and market updates, as well as product-related analysis for both internal stakeholders and external communication needs.

  • Collaborate closely with compliance, risk management, operations, and product teams to ensure all investment activities are executed, monitored, and documented effectively.

Qualifications

  • Proven experience within an asset management firm, with exposure to both ETF investment management and fixed income investment or fund management.

  • Master’s degree in finance, economics, accounting, mathematics, statistics, engineering, or a related discipline.

  • Experience or knowledge of China markets is highly preferred, including exposure to China fixed income, Asian bonds, ETF products, index strategies, credit research, or macro rates strategy.

  • Strong analytical capabilities with solid investment judgement and a clear understanding of portfolio construction, ETF mechanics, and fixed income risk management.

  • Excellent documentation, communication, and execution skills.

  • CFA qualification is an advantage.

 

We regret to inform that only shortlisted candidates will be notified.
We appreciate your understanding.
 

EA: JAC Recruitment Pte. Ltd.
EA Licence: 90C3026