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Asset Management Analyst - Fund Operations
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Asset Management Analyst - Fund Operations
greenlane private ltd.- Posted 29 days ago
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Job Description
Job Summary
Join the Asset Management team of a leading global bank in Singapore to drive fund launches, portfolio management, and investment operations. You will contribute to product development, risk management, and client portfolio monitoring within a dynamic Asia-Pacific banking environment.
Responsibilities
- Develop and implement processes and workflows to successfully launch new funds and asset management products, ensuring operational efficiency and compliance
- Analyze market trends to identify new investment opportunities and support innovative product development strategies
- Manage operational, legal, compliance, and risk issues by ensuring adherence to relevant regulations and internal policies
- Negotiate and review legal documents and agreements to safeguard the bank's asset management interests
- Collaborate in the development and continuous monitoring of client portfolios to optimize investment performance
- Support approval and implementation processes for new asset management products, facilitating timely market entry
- Assist Fund Managers by preparing materials for investment meetings, drafting reports, and supporting fund management activities
- Execute daily business-as-usual operations within the department to maintain seamless workflow and service delivery
- Lead and deliver ad-hoc projects assigned by department leadership to address strategic priorities and operational improvements
Preferred competencies and qualifications
- Bachelor's degree in Finance, Economics, Accounting, or related field Master's degree or CFA qualification is advantageous
- Registration as an Appointed Representative with MAS is preferred
- Demonstrated understanding of financial markets, investment principles, and accounting standards relevant to asset management
- Experience (1-3 years) in investment analysis, financial research, or related roles within asset management, wealth management, or private banking
- Knowledge of equity and fixed income markets, Exchange Traded Funds (ETFs), financial instruments, and investment strategies
- Proficiency in securities analysis, financial statement evaluation, and macroeconomic trend assessment financial modeling skills are a plus
- Experience using financial databases and analytics platforms such as Bloomberg and Excel VBA programming skills are advantageous
More Info
Key Skills
analytics platforms
macroeconomic trend assessment
Excel VBA programming
equity and fixed income markets
financial statement evaluation
securities analysis
