Our client is a Top Global Asset Management with offices around the world and with a strong focus in the Asia market.
This is a Director/SVP, Portfolio Risk position with an APAC oversight for Portfolio and Investment funds, covering portfolio risk analysis, independent assessment of asset allocation and other investment strategies. You will be part of the meetings with investment teams/CIO on portfolio risk & performance issues.
To be considered for the role, you should have a minimum of 12 years of relevant experience in the portfolio risk/investment risk/performance attribution in an asset management or fund house. Caniddate need to have quantitative and modeling skill set, and expericne in multi asset portfolio. Asset Allocation and Portfolio Contruction experience is key.
To express an interest, please send your resume to mail: email@example.com or contact Zul Azman on +65 6407 1073 for discussion.
Internal Number: 1095579
About Pure Singapore, EA Licence No: 12S5954
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