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Banking & Financial Services 🏢 Full Time ⭐️ Verified

1 Year Contract Funds Management Executive

Ambition Group Singapore
Central Region
Estimated Salary
SGD 60.000 – SGD 80.000
Posted Date
7 Mei 2026
Application Deadline
7 Mei 2027

Job Description

Ambition Group Singapore is seeking a dynamic Funds Management Executive to join our established asset management client on a 1‑year contract. In this role, you will support the investment team in executing fund strategies, monitoring portfolio performance, and ensuring compliance with regulatory requirements. You will collaborate with analysts, traders, and senior management to deliver insightful reports and contribute to the growth of assets under management. This is an excellent opportunity to deepen your expertise in funds management while working in the vibrant Central Region of Singapore.

You will be responsible for preparing daily and monthly performance reports, conducting NAV calculations, and assisting in the preparation of investment proposals. The role also involves liaising with external service providers, maintaining accurate records, and supporting ad‑hoc projects aimed at enhancing operational efficiency. Ideal candidates possess a strong analytical mindset, excellent communication skills, and a passion for the financial markets.

Our client offers a collaborative work environment, access to cutting‑edge financial tools, and opportunities for professional development. Join a team that values innovation, integrity, and excellence as you help shape the future of fund management in Singapore.

Responsibilities

  • Assist in the execution of fund investment strategies and monitor portfolio performance against benchmarks.
  • Prepare daily, weekly, and monthly performance reports, including NAV calculations and attribution analysis.
  • Support the creation of investment proposals, pitch books, and client presentations.
  • Liaise with custodians, administrators, auditors, and other external service providers to ensure seamless operations.
  • Maintain accurate records of transactions, holdings, and compliance documentation in accordance with regulatory standards.
  • Contribute to ad‑hoc projects aimed at improving operational efficiency, risk management, and reporting processes.

Qualifications

  • Bachelor’s degree in Finance, Economics, Business, or a related field; CFA or relevant certification is a plus.
  • 2‑4 years of experience in asset management, fund accounting, or investment operations.
  • Strong understanding of financial instruments, portfolio management principles, and regulatory frameworks (e.g., MAS, SFC).
  • Proficiency with financial data tools such as Bloomberg, Reuters, and advanced Excel (including VBA/power query).
  • Excellent analytical skills with meticulous attention to detail and ability to interpret complex data sets.
  • Effective communication and interpersonal skills, capable of presenting findings to both technical and non‑technical audiences.

Required Skills

Funds Management Asset Allocation Portfolio Analysis Risk Management Financial Reporting Stakeholder Management Regulatory Compliance Excel & Bloomberg

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