Analyst, Total Fund Management (aia Investment Management)
AIA
Sg
Quantitative modeling and research
Programming skills in python or r
Experience in multi-asset portfolio management
The Analyst will be responsible for quantitative modeling and research as well as supporting the Portfolio Managers in the management of multi-asset portfolios
Job Summary
The Analyst will be responsible for quantitative modeling and research as well as supporting the Portfolio Managers in the management of multi-asset portfolios.
The role requires effective communication and stakeholder engagement across investment, product and distribution teams.
If you believe in better, we’d love to hear from you.
Matching Summary
The Analyst will be responsible for quantitative modeling and research as well as supporting the Portfolio Managers in the management of multi-asset portfolios.
Skills & Requirements
Must-have
quantitative modeling and research
programming skills in Python or R
experience in multi-asset portfolio management
Nice-to-have
strong communication and presentation skills
team player in fast-paced environment
experience with FX/derivatives
Key Requirements
around 5 years of relevant investment experience
Bachelor’s degree in finance or related field
advanced degree or professional certifications like CFA