214 Hedge Funds jobs in Singapore
Hedge Funds Operations Intern
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Singapore
Your career at Deutsche Börse GroupYour area of Work:
You will be part of the Hedge Fund operations team, contributing to daily operational tasks and handling various ad hoc activities within Clearstream's Hedge Fund business.
Your main responsibilities:
1.Dealing rules update:
- Update of trading rules into the HF management system. It will involve reviewing prospectuses, liaising with fund administrators and internal departments across different locations.
2.Pricing update:
- Assist in the collection, verification, and input of NAV pricing into the HF management system. It will involve liaising with fund administrators and dealing with customers queries providing feedback to our customer service team.
- Support the preparation of pricing reports for Hedge Fund clients.
Ensure all discsrepancies are identified, investigated and resolved in a timely manner
Support projects and initiatives within the Hedge Funds operational team.
Support any other ad-hoc activities
Your Profile:
- University undergraduate student with an interest in the areas of Operations and Investment Funds.
- Self-motivated with an open mind to learn.
- Proficient in Microsoft office, especially Microsoft Excel. Knowledge of Vlook ups, macros, or Power BI would be beneficial.
- Excellent communication skills in English (written and spoken).
- Excellent analytical skills, numeracy literate and organized.
We are committed to providing a work environment where everyone feels welcome and can reach their full potential. Our standards go far beyond simply matching candidates with the right position.
MobilityWe enable you to move freely with our job tickets, job (e-)bikes and free parking opportunities.
Work environmentCollaboration, communication, or deep focus – in our modern office buildings you will find the perfect work environment. Free drinks and food and meal allowances included.
Health and wellbeingWe care for your health and wellbeing and besides various health promotion measures we offer you a group accident insurance and additional insurance offers at discounted rates.
Financial stabilityWe provide financial stability by offering attractive salaries, company pension schemes, participation in our Group Share Plan, as well as bonuses, subsidies and discounts.
Hybrid workCollaborate and exchange on-site or work remotely several days a week in line with business needs and local regulations. Our hybrid working model combines the best of both worlds.
Flexible working hoursWe want your job to fit your life situation and offer flexible working time models, childcare allowance, or the possibility to study alongside your job.
InternationalityOur market infrastructures are globally connected. Working with us means collaborating with like-minded colleagues across over 60 locations from more than 100 nations.
DevelopmentWe promote individual development by offering internal development programmes, mentoring, further education and training budgets.
Contact
Cherie Lim – Campus RecruitingAre you interested in an internship, an apprenticeship or a working student job?
Our Campus Recruiting Team is looking forward to your call or e-mail.
Ready to start your career with us?Apply now
Senior Associate/ Manager – Hedge Funds Operation
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Responsibilities:
· Complete day-to-day operations of multiple funds, such as process investor subscriptions and redemptions efficiently, manage account openings and exchange membership applications, and ensure timely bill payments and documentation maintenance
· Perform trade settlement for US equities, ensuring accurate and timely reconciliation across portfolio manager, prime broker and internal systems
· Review Net Asset Value reports from fund administrators and support annual funds audits and declarations
· Cultivate and maintain strong relationships with key partners, including brokers, fund administrators, and service providers and serve as a primary point of contact for external queries and internal stakeholders
· Take on ad-hoc projects and responsibilities as assigned by manager
Requirements
· Bachelor's degree in Finance, Accounting, or related field
· years of experience in fund operations or a related role within asset management or hedge funds
· Proven experience in settlement and reconciliation of US stock trades, including familiarity with DTCC, CTM, brokers, and post-trade workflows
· Expertise in financial markets and comprehensive knowledge of financial statements
· Detail-oriented with excellent analytical and problem-solving skills
· Ability to work independently and collaboratively in a fast-paced environment
· Proficiency in Microsoft Office Suite and enterprise collaboration tools.
· Outstanding communication and interpersonal skills
Head, Public Markets and Hedge Funds
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Head, Public Markets and Hedge Funds
Join to apply for the
Head, Public Markets and Hedge Funds
role at
Sun Venture
Founded in 2006, Sun Venture is a long‐term investor with a methodical and disciplined approach. We invest globally across a broad range of asset classes, including private equity, real estate, public equities, fixed income, and alternatives, with the goal of delivering sustainable value across market cycles.
Responsibilities
Define and implement investment strategies for public equities, fixed income, and hedge funds, setting long‐term diversification goals in alignment with the firm’s overall investment objectives and risk appetite.
Lead the sourcing, evaluation, and due diligence of fund investment opportunities across global markets.
Oversee ongoing performance monitoring and risk assessment of public markets and hedge funds.
Develop and implement portfolio analytics capabilities, including performance attribution, benchmarking and exposure analysis.
Collaborate with internal and external stakeholders to refine strategies, enhance processes, and evaluate market opportunities.
Lead, mentor, and develop a high‐performing team of investment professionals.
Provide regular reporting and strategic updates to the Head of Investment and Investment Committee covering portfolio performance, market trends, and investment outlook.
Requirements
Degree in Accountancy, Business, Economics, Finance or equivalent. A master’s degree in these disciplines or CFA qualification will be an advantage.
Minimum 12 years of relevant experience, including 5 years in a leadership role. Experience in North American and European markets is preferred.
Extensive network and credibility in the public equities and hedge fund investment communities.
Expertise in fund manager due diligence (qualitative and quantitative), and familiarity with buy‐side LP decision frameworks.
Proven ability to construct and manage diversified fund portfolio across geographies, strategies, and sectors.
Strong understanding of capital deployment pacing, commitment planning, and liquidity management.
Good business and investment acumen with awareness of global markets, economies, and geopolitical trends.
Exceptional leadership, interpersonal skills, and adherence to high ethical and professional standards.
Seniority Level
Director
Employment Type
Full‐time
Job Function
Finance
Industries
Investment Management
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Head, Public Markets and Hedge Funds
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About the Firm
Founded in 2006, Sun Venture is a long-term investor with a methodical and disciplined approach. We invest globally across a broad range of asset classes, including private equity, real estate, public equities, fixed income, and alternatives, with the goal of delivering sustainable value across market cycles.
Main Responsibilities
This leadership role oversees the development and execution of investment strategies for global public equities, fixed income, and hedge funds. Responsibilities include managing external manager relationships, constructing and managing portfolios, assessing risks, and delivering strong risk-adjusted returns aligned with the firm's long-term objectives.
Define and implement investment strategies for public equities, fixed income, and hedge funds, setting long-term diversification goals in alignment with the firm’s overall investment objectives and risk appetite.
Lead the sourcing, evaluation, and due diligence of fund investment opportunities across global markets.
Oversee ongoing performance monitoring and risk assessment of public markets and hedge funds.
Develop and implement portfolio analytics capabilities, including performance attribution, benchmarking and exposure analysis.
Collaborate with internal and external stakeholders to refine strategies, enhance processes, and evaluate market opportunities.
Lead, mentor, and develop a high-performing team of investment professionals.
Provide regular reporting and strategic updates to the Head of Investment and Investment Committee covering portfolio performance, market trends, and investment outlook.
Degree in Accountancy, Business, Economics, Finance or equivalent. A master's degree in these disciplines or CFA qualification will be an advantage.
Minimum 12 years of relevant experience, including 5 years in a leadership role. Experience in North American and European markets is preferred.
Extensive network and credibility in the public equities and hedge fund investment communities
Expertise in fund manager due diligence (qualitative and quantitative), and familiarity with buy-side LP decision frameworks.
Proven ability to construct and manage diversified fund portfolio across geographies, strategies, and sectors.
Strong understanding of capital deployment pacing, commitment planning, and liquidity management.
Good business and investment acumen with awareness of global markets, economies, and geopolitical trends.
Exceptional leadership, interpersonal skills, and adherence to high ethical and professional standards.
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Senior Associate / Associate Director, Public Markets and Hedge Funds
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About the Firm
Founded in 2006, Sun Venture is a long-term investor with a methodical and disciplined approach. We invest globally across a broad range of asset classes, including private equity, real estate, public equities, fixed income, and alternatives, with the goal of delivering sustainable value across market cycles. Main Responsibilities
The Senior Associate / Associate Director in the Public Markets and Hedge Funds team will support the development and execution of the firm’s public markets and hedge funds program. The role involves shaping portfolio strategy, strengthening GP relationships, and representing the firm to internal and external stakeholders. Coverage spans global equities, fixed income, and hedge funds, with a primary focus on global equities (long-only and long-bias strategies).
Assist in the development and implementation of investment strategies for public equities, fixed income, and hedge funds, setting long-term diversification goals in alignment with the firm’s overall investment objectives and risk appetite.
Assist in the sourcing, evaluation, and due diligence of fund investment opportunities across global markets.
Oversee ongoing performance monitoring and risk assessment of public markets and hedge funds.
Implement portfolio analytics capabilities, including performance attribution, benchmarking and exposure analysis.
Cultivate and maintain relationships with GPs and industry contacts.
Degree in Accountancy, Business, Economics, Finance or equivalent. A master's degree in these disciplines or CFA qualification will be an advantage.
Minimum 7-9 years of relevant experience and track record in building and managing a diversified global equities portfolio. Experience covering hedge funds and fixed income funds will be an added advantage.
Expertise in fund manager due diligence (qualitative and quantitative), and familiarity with buy-side LP decision frameworks.
Good business and investment acumen with awareness of global markets, economies, and geopolitical trends.
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Project Executive, Investment & Strategy - #catalystWSP
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Singtel x Singapore Institute of Technology have embarked on a Work-Study Programme (WSP) launched in Feb 2023. The WSP is called “The Catalyst Programme” which is a structured on-the-job (OJT) development WSP that allows Polytechnic Diploma holders to secure a full-time position with Singtel while pursuing a university honours degree in BEng Infrastructure and Systems Engineering. This programme is open to Singtel’s internal employees as well as external polytechnic diploma holders preferably from the Engineering domain. Candidates will be offered a specific role as the one shared below. Are you ready for this challenge?
Make an Impact by
Support the Engineering team in evaluating technical aspects of regional data centre expansion plans by liaising with external partners on basic technical queries and assisting with consultant onboarding.
Collaborate with Product & Engineering teams to help identify and evaluate data centre technology solutions, while learning about the development of sustainability initiatives and reporting practices.
Work with Product & Operations teams to coordinate and support data centre technology Proof of Concept (POC) trials.
Assist with identifying potential grants or funding programs and support relevant teams in the application process.
Help gather and organize industry news, updates, and research on digital infrastructure trends and data centre players in various markets.
Skills for Success
A completed diploma in Business or Finance
Ability to multi-task, work under pressure and within tight deadlines.
Rewards that Go Beyond
Full suite of health and wellness benefits
Ongoing training and development programs
Internal mobility opportunities
Your Career Growth Starts Here. Apply Now!
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VP, Macro Strategist, Economics & Investment Strategy
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VP, Macro Strategist, Economics & Investment Strategy
Join to apply for the VP, Macro Strategist, Economics & Investment Strategy role at GIC.
Overview
GIC is one of the world’s largest sovereign wealth funds. With over 2,000 employees across 11 offices worldwide, we invest in more than 40 countries across asset classes and businesses. Working at GIC gives you exposure to an exceptional network of the world’s industry leaders. As a leading global long-term investor, we work at the point of impact for Singapore’s financial future and the communities we invest in worldwide.
Responsibilities
Conduct research on global macro and market developments.
Cross-asset market research and analysis.
Generate analysis on topical and thematic macro and market issues.
Guide the investment strategy for the total GIC portfolio, improving risk-adjusted returns by identifying key macro trends and cross-asset market opportunities.
Contribute to the team’s overall investment framework and help develop actionable investment recommendations.
What impact can you make in this role?
You will have the opportunity to develop investment strategies for the Total Portfolio, working closely with senior team members and joining an experienced macro and markets strategy team that collaborates with Senior Management to shape medium-term portfolio allocation.
What will you do as a VP, Macro Strategist?
The role focuses on guiding macro and cross-asset insights to support portfolio decisions and risk management across the Total Portfolio.
Qualifications
10 years or more experience as a macro/market strategist.
Self-starter and proactive in contributing to the team.
Strong analytical and statistical abilities; proficient with MS Office products and databases.
Able to connect macro themes and communicate clearly in writing and speech.
Good interpersonal skills. Able to work collaboratively and foster internal debate.
Work at the Point of Impact
We need to be forward-looking to attract the right people to help us become the Leading Global Long-term Investor. Join our ambitious, agile, and diverse teams — be empowered to push boundaries, share your views, and be heard. Be anchored on our PRIME Values: Prudence, Respect, Integrity, Merit and Excellence, which guide our day-to-day decisions. We strive to inspire and to make an impact.
Flexibility at GIC
At GIC, our offices are vibrant hubs for ideation, professional growth, and interpersonal connection. We believe flexibility allows us to do our best work, so our teams come into the office four days per week to maximize in-person collaboration while having the flexibility to choose which days to work from home and adjust this arrangement as needed.
Equal Opportunity Employer
GIC is an equal opportunity employer, and we value diversity. We do not discriminate based on race, religion, color, national origin, sex, gender, gender expression, sexual orientation, age, marital status, veteran status, or disability status. We will provide reasonable accommodation to participate in the job application or interview process, to perform essential job functions, and to receive other benefits and privileges of employment. Please email at any point of the application or interview process if adjustments need to be made due to a disability.
Learn More
Learn more about our Economics & Investment Strategy Department here:
Our PRIME Values
GIC is a values-driven organization. PRIME stands for Prudence, Respect, Integrity, Merit and Excellence. The PRIME Values guide our decisions and how we relate to clients, partners, and employees.
Seniority level
Mid-Senior level
Employment type
Full-time
Job function
Research, Finance, and Analyst
Industries
Investment Management and Financial Services
Referrals increase your chances of interviewing at GIC by 2x.
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VP, Macro Strategist, Economics & Investment Strategy
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VP, Macro Strategist, Economics & Investment Strategy
Location:
Singapore, SG
Job Function: Economics & Investment Strategy
Job Type: Permanent
GIC is one of the world’s largest sovereign wealth funds. With over 2,000 employees across 11 offices around the world, we invest in more than 40 countries globally across asset classes and businesses. Working at GIC gives you exposure to an extraordinary network of the world’s industry leaders. As a leading global long-term investor, we Work at the Point of Impact for Singapore’s financial future, and the communities we invest in worldwide.
We manage the Total Portfolio to earn sustainable returns over the long-term, and enable the flexibility to navigate the path over the shorter term.
Macro and Capital Markets
You will help to guide the investment strategy for the total GIC portfolio, improving the risk-adjusted returns by identifying key macro trends and cross-asset market opportunities.
What impact can you make in this role?
You will have the opportunity to develop investment strategies for the Total Portfolio, working closely with senior team members. This is an opportunity to join an experienced macro and markets strategy team that works closely with Senior Management to help to shape the medium-term portfolio allocation
What will you do as a VP, Macro Strategist?
Conduct research on global macro and market developments
Cross-asset market research and analysis
Generating analysis on topical and thematic macro and market issues
Contribute to the team’s overall investment framework and helping to develop actionable investment recommendations
What qualifications or skills should you possess in this role?
10 years or more experience as a macro/market strategist
Self-starter and pro-active in contributing to the team
Strong analytical and statistical abilities; proficient with MS office products and databases
Able to link the dots, with strong written and spoken communication skills.
Good interpersonal skills. Able to work collaboratively and foster internal debate
Work at the Point of Impact
We need to be forward-looking to attract the right people to help us become the Leading Global Long-term Investor. Join our ambitious, agile, and diverse teams - be empowered to push boundaries and pursue innovative ideas, share your views, and be heard. Be anchored on our PRIME Values: Prudence, Respect, Integrity, Merit and Excellence, which guides us in how we make our day-to-day decisions. We strive to inspire. To make an impact.
Flexibility at GIC
At GIC, our offices are vibrant hubs for ideation, professional growth, and interpersonal connection. At the same time, we believe that flexibility allows us to do our best work and be our best selves. Thus, our teams come into the office four days per week to harness the benefits of in-person collaboration but have the flexibility to choose which days they work from home and adjust this arrangement as situational needs arise.
GIC is an equal opportunity employer
GIC is an equal opportunity employer, and we value diversity. We do not discriminate based on race, religion, color, national origin, sex, gender, gender expression, sexual orientation, age, marital status, veteran status, or disability status. We will ensure that individuals with disabilities are provided reasonable accommodation to participate in the job application or interview process, to perform essential job functions, and to receive other benefits and privileges of employment.
Please email at any point of the application or interview process if adjustments need to be made due to a disability.
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Investment & Business Strategy Associate (Finance)
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We are seeking an Investment & Business Strategy Associate to work directly with the CEO in overseeing and expanding the company's business portfolio. This is a unique leadership-track role designed for a high-potential individual with a strong finance background, excellent communication skills, and the ability to translate strategic ideas into actionable business plans. The successful candidate will first work under the CEO to gain deep exposure to the company's operations and investments, with a clear progression toward leading and managing business initiatives independently.
Key Responsibilities- Work closely with the CEO to evaluate, plan, and execute business strategies across multiple sectors.
- Conduct financial and strategic analysis to support investment decisions, business expansion, and resource allocation.
- Review and interpret financial statements, forecasts, and key performance indicators to drive business performance.
- Prepare investment memorandums, reports, and presentations for internal and external stakeholders.
- Coordinate cross-departmental projects, ensuring smooth execution of strategic initiatives.
- Support capital planning, budgeting, and financial structuring of new business ventures.
- Build and maintain strong relationships with financial institutions, investors, and industry partners.
- Act as a trusted advisor to the CEO in identifying opportunities and risks across the business portfolio.
- Bachelor's degree in Finance, Economics, Business Administration, or related field; advanced degree or CFA preferred.
- Proven experience in investment banking, securities, asset management, private equity, or corporate finance.
- Strong financial modeling, valuation, and analytical skills.
- Excellent English & Mandarin communication skills (oral and written); other languages a plus.
- Ability to quickly structure the CEO's ideas into actionable strategies and ensure execution.
- Strong organizational, stakeholder management, and cross-department coordination abilities.
- High level of professionalism, discretion, and integrity.
- Exposure to corporate strategy, M&A, or business development.
- Prior experience working directly with senior management or C-suite executives.
- Strong network within the traditional financial industry.
- Leadership potential with the ability to transition into independent business management over time.
Director, Portfolio Management
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JOB DESCRIPTION
Job Purpose
The key objective of this role will be to contribute to the delivery of maximizing risk-adjusted investment returns for the Keppel Education Asset Funds including parallel funds and co-investment vehicles (KEAF" or the Funds").
The successful candidate will possess superior analytical skills, commercial acumen and a high level of strategic thinking capacity. In addition, he or she is expected to have strong analytical and written (as well as verbal) presentation skills. The candidate will also work closely with other members in the KEAF team and the wider Keppel Fund Management & Investment team.
Key Responsibilities
Portfolio Management
- Oversee portfolio financial modelling and analysis work required for regular fund reporting purposes and special situation analyses such as building financial models in support of new private fund launch, REIT, etc
- Work with the asset management team to develop and execute portfolio strategy, business plan, and budget under the Funds' mandate; actively monitor the Funds' liquidity, control fund expenses, and maximize investor distributions and returns.
- Involve in 3rd party private capital or fund-raising including preparation of marketing materials, addressing investor due diligence questions, negotiations, and supporting the fund documentation process.
- Maintain and develop good relationships with existing and potential investors.
- Maintain centralized oversight of Funds' performance including financial model for the Funds, investment performance monitoring and analysis, carry interest calculations, investors' reporting, governance and returns bench marking, etc.
- Maintain oversight on all compliance matters related to the Funds for both internal and external requirements.
- Participate in investment and asset management process including evaluation of the potential acquisitions and divestment opportunities by giving the portfolio perspectives.
- Work with the asset management and investment team to implement ESG initiatives, monitor the progress of ESG initiatives together with the asset management team and oversee ESG implementation for the Funds. Oversee the submission of GRESB and explore ways to improve scores.
- Be able to contribute to KEAF's investment and asset management strategy through understanding all the fund documentations well, have a good understanding of the education market by reading on research and market intelligence, keeping current on competitive and regulatory landscape and best practices.
- Responsible for the new and on-going monthly / quarterly information disclosure to investor and ensure timely delivery of the same.
- Responsible for all communication with investors including organizing meetings, calls and building good relationships with the investors. Work with client management team to organize annual investors' meeting etc.
Asset Management
- Develop and recommend strategies to maximize performance and enhance assets under management
- Oversee the preparation of budgets, periodic forecasts and asset plan
- Review the actual performance of portfolio assets against budget and strategies. Implement initiatives and solutions to improve asset performance with objective to outperform underwriting
- Oversee the progress of development and asset enhancement initiatives, ensuring adherence to budgetary constraints and AEI timelines. Implement catch up program if necessary.
- Prepare quarterly reports and related information for investors' reporting
- Collate data for sustainability reporting, safety performance and other green initiatives
- Do hold sell analysis and oversee the divestment of assets with team. Work with investment team (if necessary) on the divestment
- Support portfolio management team in information related to assets under management
JOB REQUIREMENTS
- Masters / Degree in Real Estate / Finance / Business Administration from leading university
- Minimum 10 years of relevant experience with real estate funds in investment or asset management role with board knowledge and extensive networks in the real estate investment sectors for the Asia Pacific region.
- Possess sharp analytical, research, problem solving skills and communication skills.
- Demonstrate ability to lead and negotiate transactions. Proven track record in dealing with international institutional investors will be viewed favorably.
- A self-motivated team player who is meticulous, detailed oriented, organized and able to learn quickly, independently with strong analytical skills;
- Proficient with financial modelling, market and industry research in infrastructure, real estate or other private equity assets;
- A strong communicator with excellent stakeholder management skill and ability to interact well with different functions and levels.
- Ability to multi-task and work in fast pace dynamic environment
BUSINESS SEGMENT
Real Estate
PLATFORM
Fund Management
ASSET_MANAGEMENT