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Investment Manager - Singapore
Our client is a Singapore-based single-family office managing private capital with institutional-grade discipline. The office invests across public equities, structured credit, hybrid instruments, and fixed income, with a primary mandate of capital preservation and selective long-term growth.
They are now seeking their first in-house Investment Manager, a founding hire who will work directly with the principal and own the investment process end-to-end.
About the role
Reporting directly to the principal, you will take full ownership of the portfolio, from trade execution and performance attribution to private bank relationship management and quarterly reporting. The mandate is active and multi-asset: equities, fixed income, and hybrid or structured credit instruments. You will not inherit a bureaucracy; you will build a framework.
This is a hands-on position. You will be the sole investment professional initially, with the trust and authority to make meaningful decisions from day one.
Key responsibilities
What we are looking for
Preferred attributes
If you are analytically rigorous, commercially minded, and ready to take genuine ownership of a multi-asset portfolio in a lean, high-trust environment, we would love to hear from you.
Job ID: 151317511
Skills:
capital market outlook, asset allocation, portfolio construction, performance attribution, investment acumen, multi-asset class portfolios, Analytical Skills
Skills:
Microsoft Excel, Treasury Management, Investment Analysis, Compliance requirements, Financial analysis, Accounting Standards, Budgeting, Investment evaluation, Accounting Software, Knowledge of listed company regulations
Skills:
Vba, Microsoft Excel, Python, R, Portfolio construction theory, Powerpoint, Fund research
Skills:
quantitative models , Data Analytics, Python, Excel, risk management, portfolio optimisation techniques, macro and market analysis, multi-asset investing
Skills:
Rpa, Coding, unit trusts, AI adoption, portfolio construction, Financial Modelling, predictive signals, qualitative methods, economic regime identification, tactical asset allocation, etfs, derivatives overlay