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Accela Group

VP/SVP, Portfolio Construction & Risk

5-7 Years
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  • Posted 19 hours ago
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Job Description

Position Summary

We are searching for a talented VP/SVP, Portfolio Construction & Risk to join our dynamic team. This is a high-impact role for someone who thrives on analytical rigor and precision, and is energized by the opportunity to contribute to innovative portfolio design and multi-asset trading execution.

Sitting at the crossroads of investment strategy, risk analytics, and hands-on trading, you'll help shape how portfolios are constructed, optimize risk exposures, and ensure trades are executed seamlessly and efficiently.

Position Location:

Singapore, with significant travel to Abu Dhabi (40%)

Role Responsibilities

Portfolio Construction & Risk Management

  • Partner with the Director Portfolio Construction/CIOs to design portfolio allocation frameworks in the context of a global macro and alternative investments portfolio.
  • Analyze and model portfolio characteristics including risk, return, factor exposures, liquidity, and constraints.
  • Contribute to the development of systematic or rules-based portfolio models and the systems that drive the portfolio allocation decision.
  • Contribute to the implementation of a risk management framework to cover market risk, counterparty risk, and operational risk

Execution Trading

  • Execute trades across global markets, ensuring best execution and adherence to compliance guidelines.
  • Monitor outsource trading providers; implement TCA benchmarking for both internal and external trade execution.
  • Collaborate with brokers, custodians, and trading platforms (e.g. EMS/OMS).
  • Work closely with middle back office colleagues to improve trade execution capabilities.

The Ideal Candidate Will Possess The Following Professional Qualifications

  • Minimum of 5 years experience in a buy-side or sell-side role focused on portfolio analytics, trading, or risk management.
  • Bachelor's or Master's degree in Finance, Economics, Engineering, Mathematics, Computer Science, or a related field.
  • Progress toward or completion of professional certifications such as CFA or FRM.

The ideal candidate will possess the following knowledge, skills, attributes, and values:

  • Experience with top-down portfolio construction and trading.
  • Proficiency in Python coding.
  • A solution-oriented mindset, with the ability to approach challenges creatively and effectively.
  • Self-starter with strong initiative and the ability to work independently.
  • Willingness and ability to travel up to 40% of the time.

EA licence number: 15C7529

EA Personnel number: R1985185

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Job ID: 143140361

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