Search by job, company or skills
About Us
Founded in Singapore, SeaTown is a leading Asia-focused alternative investment firm with deep expertise across private and public markets.
Owned by Seviora, Temasek's asset management group, we are a trusted steward of capital, investing alongside our investors in conviction-driven strategies. We strive to deliver compelling risk-adjusted returns by leveraging our extensive relationship network, decades of investing experience and astute global perspectives.
For more information on SeaTown, please visit: .
Job Summary:
We are seeking a highly motivated Junior Risk & Performance Analyst to join our growing alternative asset management team. This role will support the monitoring, analysis, and reporting of portfolio performance and risk exposures across multiple asset classes including private equity, private credit, hedge funds.
The ideal candidate will have strong quantitative and analytical skills, a keen eye for detail, and the ability to work with complex investment data. This position provides exposure to senior investment professionals and offers a unique opportunity to gain hands-on experience in portfolio risk management, performance attribution and reporting in a dynamic and fast-paced environment.
Responsibilities:
Measurement & Attribution
. Assist in calculating daily, monthly and quarterly risk and performance reporting
. Contribute to performance attribution analysis including use of factor models across asset classes and strategies, help identify drivers of alpha and risk-adjusted returns
. Prepare investment performance reports for senior management, portfolio managers and external stakeholders
. Maintain accurate historical performance databases and benchmark tracking.
. Prepare analytics to support portfolio management process and marketing.
Data Management
. Maintain data integrity of investment holdings, benchmarks, and risk factors in internal databases
. Automating and producing various performance reports including building dashboards and visualizations using tools like Excel or Tableau
. Work closely with operations and investment teams to reconcile discrepancies in data.
. Support the development of automated reporting tools and dashboards.
Qualifications & Skills:
Education & Experience
. Bachelor's degree in Finance, Economics, Accounting, Statistics, Mathematics, or a related field.
. Up to 3 years of relevant experience in asset management, risk management, performance analytics, or investment operations (internship experience considered).
Technical Skills
. Strong proficiency in Microsoft Excel, SQL, Python and data visualization tools (e.g., Tableau).
. Familiarity with Bloomberg, Tableau is a plus.
Please submit your application to [Confidential Information] with your updated CV.
Due to the high volume of application, we seek your understanding that only shortlisted candidates will be contacted. Many thanks for your interest and time.
Date Posted: 09/09/2025
Job ID: 125807087