About the role
Position Purpose The Portfolio Manager (PM) will be responsible for fixed income investment decisions for multi-asset portfolios (Profiled, SGD and Tailor-made mandates). The PM is expected to work closely with PMs responsible for other asset classes in managing these multi-asset portfolios. The PM is also expected to support the growth of the DPM business through active participation in client pitches and reviews.
Key Responsibilities
Portfolio Management
- Managing portfolios, including Profiled and Tailor-made mandates
- Managing fixed income models of USD, SGD and other currencies
- Credit and duration management of fixed income strategies
- Deliver out-performance versus benchmark.
- Ensure proper risk control and compliance to the DPM charter, client investment guidelines and restrictions.
Portfolio Marketing
- Participate in client prospecting and reviews
- Strong support in marketing efforts to grow DPM business
- Development of new mandates to grow the DPM business
- May also be involved in other projects whenever assigned
Competencies
- At least 10 years experience in managing global multi-asset portfolios
- Familiar with ESG investments.
- Strong analytical and communication skills
- Proficiency in computer applications (Excel, Power-points, Words, etc) & Bloomberg
Specific Qualifications Required
- University graduate with a min 10 years working experience
- Professional qualification: Chartered Financial Analyst preferred or pursuing CFA.
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