Senior Associate/Assistant Vice President, Cross Asset Investment Strategies

TemasekOn-siteFull-timeSenior, 5–8 yearsListed 1 week ago

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About this role

Introduction

PSRG Office (Cross Asset Investment Strategies) is seeking to hire a SA/AVP-level candidate to expand our team in Singapore. The candidate shall lead idea generation/assessment/monitoring of cross-asset investment ideas globally with a focus on China. He/she will partner closely with Macro Strategy, Public Market, and IG (Investment Group) colleagues globally. The candidate is expected to have a strong fundamental equity research capability, and knowledge or a strong willingness to learn macroeconomics and cross-asset interconnections.

Responsibilities

- Generate and assess cross-asset investment ideas and make recommendations based on macro, sector/thematic, geopolitical, and tactical positioning views.

- Monitor and maintain constantly refreshed views and make recommendations to adjust portfolio positions based on market conditions.

- Conduct thorough research on macroeconomic indicators and industry/company analysis, with high proficiency in financial analysis and modeling.

- Work in close collaboration with Macro Strategy and Public Market teams to implement macro investments, and hedging strategies, across asset classes, markets, and sectors.

- Collaborate closely with colleagues globally in IG on thesis and risk/reward for our existing public equity portfolio holdings and on new investment ideas, with 6-18 month holding period views.

- Regularly disseminate views and discuss ideas with investment colleagues, both verbally and in writing.

Requirements

- Preferably 5 years and above working experience in investment roles in financial companies including but not limited to macro funds, public equity funds, private equity, a top-tier investment bank, or research firm.

- Fluent in Chinese and able to network with Chinese company mgmts., Chinese domestic analysts, and other information sources. Familiar with A/H shares.

- Strong in fundamental equity analysis and investment principles, with knowledge or a strong willingness to learn macroeconomics and complex trading structures.

- Strong grasp of portfolio management concepts, excellent analytical skills, and ability to synthesize complex information and draw actionable conclusions.

- Proficient with Bloomberg and/or other platforms (Factset, CapIQ, etc), and able to extract market and fundamentally related datasets to manipulate and illustrate arguments.

- Excellent verbal / written communication skills; Proficient in PowerPoint.

- Team player, who can collaborate effectively across a global team. Periodic travel required.

- Proactive self-starter who can manage work independently.

- Prior buy-side or trading experience is a plus.

- Technical expertise.