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 a global oversight for Portfolio and Investment funds, covering portfolio risk analysis, independent assessment of asset allocation and other investment strategies. You will a key role with investment teams/CIO on portfolio risk & performance issues across.
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. The candidate needs to have quantitative and modeling skill set, and exposure to multi-asset portfolios. Asset Allocation and Portfolio Contruction experience is key.
To express an interest, please send your resume to mail: firstname.lastname@example.org or contact Zul Azman on +65 6407 1073 for discussion.