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Job Title: Portfolio and Treasury Services Analyst

Company: Multinational Technology firm

Corporate Title: Flexible Salary Range: Generous Package
Location: Singapore Date Open: April 2020

Responsibilities / Duties:

  • The company develops and deploys systematic financial strategies across a variety of asset classes and global markets. 
  • We seek to produce high-quality predictive signals (alphas) through our proprietary research platform to employ financial strategies focused on exploiting market inefficiencies. 
  • Our teams work collaboratively to drive the production of alphas and financial strategies – the foundation of a sustainable, global trading platform.
  • Technologists at the research, design, code, test and deploy projects while working collaboratively with researchers and portfolio managers. 
  • Our environment is relaxed yet intellectually intense. 
  • Our teams are lean and agile, which means rapid prototyping of products with immediate user feedback. 
  • We seek people who think in code, aspire to solve undiscovered computer science challenges and are motivated by being around like-minded people. 
  • In fact, of the 600 employees globally, approximately 500 of them code on a daily basis.
  • The companys success is built on a culture that pairs academic sensibility with accountability for results. 
  • Employees are encouraged to think openly about problems, balancing intellectualism and practicality. 
  • Great ideas come from anyone, anywhere. 
  • Employees are encouraged to challenge conventional thinking and possess a mindset of continuous improvement. 
  • That’s a key ingredient in remaining a leader in any industry.
  • Our goal is to hire the best and the brightest. 
  • We value intellectual horsepower first and foremost, and people who demonstrate an exceptional talent. 
  • There is no roadmap to future success, so we need people who can help us create it. 
  • Our collective intelligence will drive us there.
  • Individuals in the Portfolio and Treasury Services team are responsible for portfolio analytics involving calculation of various portfolio performance measures such as P&L, Asset Valuations and Risk. 
  • We directly interact with Portfolio managers & Senior Management helping them to manage firm’s trading book balances & optimize the cost of trading. 
  • In every task, Middle office is keenly process and automation-oriented as we seek to provide industry-leading capabilities and portfolio analytics.
  • We are seeking exceptionally bright & experienced individuals who thrive on solving challenging business & analytical problems.
  • Run a system that enables us to process vast amounts of information seeking to optimize investment decisions.
  • Develop state of the art financial modeling systems and tools.
  • Consult in developing software that enables fully-automated trading operations.
  • Work closely with portfolio management and traders to create custom-tailored, unique solutions that provide clear business value.
  • Support and monitor critical business functions and processes.

Requirements / Qualifications:

  • Possess a Bachelor’s Degree in an Engineering or Finance related field from a top schools
  • experience in Middle Office, Product control, Valuations, Treasury or 
  • Portfolio analytics with another investment house or Bank
  • Strong experience supporting diverse asset classes e.g. Stocks, Fixed Income, FX, and Derivatives
  • Candidates with experience in FX/Futures valuation/trade life cycle preferred
  • Able to program in scripting languages such as Python, and/or Linux shell
  • Good data analysis skills using SQL, Python, Excel, and/or BI tools like Tableau
  • Strong analytical & debugging skills to uncover new insights from firm’s historical trade data. 
  • Experience applying Machine learning algorithms to financial data is a plus.
  • Be self-motivated and take initiative with minimal direction
  • Possess excellent written and oral communication skills
  • Demonstrated interest in capital markets and drive to build a career in finance