Investment Strategy Manager

  • 36898
  • Life - Investments
  • |
  • Singapore
  • |
  • Feb 26, 2020
Insurance
RESPONSIBILITIES
  • Enhance and implement SAA/ALM framework and investment process for the management of Par, Non-Par Funds and ILP funds.
  • Propose SAA in consideration of liability-driven or relative-driven investment solutions. Execute and monitor these SAA annually or when economic regimes change, including financial impact and rebalancing where necessary.
  • Work with Actuarial team on ALM, Cash Flow / Bond matching, structured products and derivative overlay.
  • Assist in communicating the investment views and strategies to the various distribution channels through seminars, presentations and investment newsletters.
  • Assist in the evaluation of existing and prospective investment strategies, fund managers and mandates.
  • Support other investment functions in areas of product development, customer and corporate communications, financial reporting etc.
QUALIFICATIONS
  • University graduate in Actuarial Studies, Finance, Statistics, Mathematics or other related fields.
  • Chartered Financial Analyst preferred.
  • English.
  • At least 8 years of experience in investment management, capital markets and/or insurance consulting.
  • Actuarial experience will be an advantage.
  • Knowledgeable in management of global multi-asset portfolios, fixed income and derivatives with a focus on capital-efficient ALM trades and risk hedging.
  • Bloomberg, Thomson Reuters.
  • PowerBI.
  • Modelling and programming skills.
  • Microsoft Office functions such as Word, PowerPoint, Excel, VBA.
  • Able to multi-task and prioritize in fast-paced environment.
  • Adaptive and eager to learn.
  • Collaborative and innovative.
  • Excellent Communication skills.