Bank of Singapore

DPM Portfolio Manager, Multi-asset (Vice President)

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Job Location

Singapore, Singapore

Job Description

At Bank of Singapore, we are constantly on the lookout for exceptional individuals to join our team. We promote a culture of openness, teamwork and fairness. Most importantly, we invest in our people through our programmes that develop them on both professional and personal levels. Besides attractive remuneration packages, we offer non-financial benefits and opportunities to develop your potential within OCBC Group’s global network of subsidiaries and offices. If you have passion, drive and the will to succeed, rise to the challenge today!

Bank of Singapore opens doors to new opportunities.

Start your career with Bank of Singapore as a DPM Portfolio Manager (Multi-asset). !

General Description:

Bank of Singapore's DPM team is seeking an experienced ESG portfolio manager to integrate ESG considerations into investment decisions for our assets under management. Key soft are confidence, determination, self-motivated, strong time management skills, ability to work effectively under pressure, good numerical and IT skills, analytical and problem-solving skills. Effective teamwork and strong communication skills are essential.

Main Duties:
  • Managing client Portfolios under the guidance of CIO strategic view, DPM procedures, with a focus on integrating ESG factors into investment decisions. Ensure alignment with clients' investment objectives and risk tolerance levels.
  • Work towards Article 8 for BOS International shelf of funds.
  • Work on adherence to MAS EnRM; contribute towards and participate in Sustainable Investment Governance Committee (SIGC).
  • Evaluating the risks and opportunities of investment portfolios, including monitoring holdings to help identify buy/sell candidates based on relative value comparison.
  • Track and monitor daily spreads/prices for all fund/portfolio positions.
  • Understand clients' needs and craft solutions according to clients' risk appetite and preferences, through different asset classes including fixed income and equities.
  • Engage in post-investment discussions with research analysts for ESG value creation and risk mitigation, constructively challenging research views.
  • Researching companies and exhibit a strong Fundamental view on Sovereigns/Sectors
  • Relative value analysis of potential investments versus alternative investment options - both within and across asset classes.
  • Write commentary and provide market updates, for internal and external clients.
  • Provide bond/equity analytics, model portfolios, and presentations for prospective clients.
  • To assist fellow Portfolio Managers with reporting and other duties as necessary to meet client requirements.

Qualifications

Work Experience Requirements:

• Strong understanding of ESG principles, sustainable investing, and impact investing.

• Familiarity with MAS Environmental Risk Management Guidelines (EnRM) and other relevant regulatory frameworks.

• Proficient at Excel spreadsheet analytical development and utilization

• Familiarity with financial risk models (market, credit, liquidity risk assessment and forecasting)

• Proficiency in ESG data platforms

• Strong report writing and communication skills

• Preferably Advanced skills in quantitative methods of data analysis

• Familiarity with portfolio management tools, especially Blackrock Aladdin tools a plus

Education Requirements:

• University degree at Bachelors or Masters level

• CFA designation and any ESG accreditation preferred


Location: Singapore, SG

Posted Date: 10/22/2024
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Contact Information

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Bank of Singapore

Posted

October 22, 2024
UID: 4908668446

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