Fund Manager
Fund Manager
tiger brokers singapore8-10 Years
- Posted 18 hours ago
- Be among the first 10 applicants
Job Description
About us:
Founded in 2014, Tiger Brokers is a leading global online brokerage firm that leverages next-generation technology to deliver high-quality financial products and services to retail, institutional, and corporate clients worldwide.
Responsibilities:
- Research and Analysis for development of Investment Strategy and determination of Asset Allocation for US/Global market
- Understanding of market colour and key investment trends
- Multi Asset selection: stocks, bonds, mutual funds, options, derivatives and structured deposits
- Portfolio Construction, Review & Rebalancing covering US market hours
- Risk Management & Performance Monitoring in strict adherence to client's risk profile
- Order placement for the purpose of fund management for the following instruments:
(i) Stocks, bonds, mutual funds, options, derivatives and structured deposits
- Meeting with HNW Clients (including Singapore Resident Clients) to:
(i) Understand their investment objectives and risk tolerance of Clients
(ii) Communicate investment strategies and portfolio performance managed by DPM and funds
Qualifications:
- At least 8-10 years of relevant fund management experience at private bank, asset management or fund house in portfolio management
- Proven track record of portfolio management, with a deep understanding of financial instruments and their market dynamics.
- Familiarity with portfolio management tools such as Bloomberg
- Strong analytical skills and the ability to interpret complex financial data to make informed investment decisions
- Strong risk management culture and adaptable to environment
- Written and spoken English and Mandarin as you are required to work closely with our Chinese stakeholders based in our China office.
More Info
Key Skills
Investment Strategy
Multi Asset Selection


