What Jobs are available for Investment Strategies in Singapore?
Showing 260 Investment Strategies jobs in Singapore
Quantitative Strategy Lead (Analytics & Investment Strategies, VP)
Posted today
Job Viewed
Job Description
 Overview 
 As a team lead, you will oversee a team of quantitative professionals, driving research and analysis on a diverse range of external fund managers and investment strategies in delivering high-impact insights and tools that strengthen and inform the investment decision‐making process. 
 To develop the team's expertise in leveraging data, quantitative techniques, and AI/ML methodologies to deliver comprehensive, data‐driven insights and evidence‐based recommendations. 
 To enhance and innovate across various stages of the investment process by applying quantitative and AI/ML tools, thereby expanding our capabilities in scale, depth, and performance. Additionally, you will contribute to the broader organization by sharing analytical tools and data‐driven insights, fostering collective domain expertise. 
 Responsibilities 
 Serve as a strategic thought partner to department and investment leaders, leveraging data, quantitative techniques, and AI/ML methods to enhance investment processes, shape the department's analytical capabilities, and conduct research focused on capital allocations, portfolio construction, optimization, and risk management. 
 Lead and manage quantitative research and analysis across the entire investment process, from manager screening and selection to strategy due diligence and portfolio construction, ensuring high research quality and timely delivery. 
 Oversee and govern the implementation of models, analysis, and tools to ensure alignment with best practices and team‐wide infrastructure, while managing the team's model and analytics operations. 
 Facilitate the sharing and cross‐pollination of quantitative applications, analysis, and tools across departments, while providing macro‐level insights to the team. 
 Qualifications 
 Master's or Doctoral degree in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, Engineering, or Economics. 
8-12 years of relevant experience in quantitative research and analysis, with a strong emphasis on applying quantitative methods and AI/ML techniques in capital allocation, portfolio construction, optimization, and risk management. 
 Experience in a fund allocator environment is highly desirable, along with a solid understanding of macroeconomic trends, credit and equity investing, and capital markets, complemented by exceptional communication skills to effectively understand, influence, and secure buy‐in from stakeholders. 
 Proficiency in programming languages such as R or Python, along with SQL. 
 This is in partnership with the Employment and Employability Institute Pte Ltd ("e2i"). 
 e2i is the empowering network for workers and employers seeking employment and employability solutions. e2i serves as a bridge between workers and employers, connecting with workers to offer job security through job‐matching, career guidance and skills upgrading services, and partnering employers to address their manpower needs through recruitment, training, and job redesign solutions. e2i is a tripartite initiative of the National Trades Union Congress set up to support nation‐wide manpower and skills upgrading initiatives. 
 By applying for this role, you consent to GMP Technologies (S) Pte Ltd's PDPA and e2i's PDPA. 
 For more information, please visit to  and search for Job Reference: QXX859VR 
 We regret that only shortlisted candidates will be notified. 
 GMP Technologies (S) Pte Ltd | EA Licence: 11C3793 | Tang Lee Ling | Registration No: R 
#J-18808-Ljbffr 
Is this job a match or a miss?
 
            
        
                                            
            
                 
            
        
                    Quantitative Strategy Lead (Analytics & Investment Strategies, VP)
Posted 8 days ago
Job Viewed
Job Description
- As a team lead, you will oversee a team of quantitative professionals, driving research and analysis on a diverse range of external fund managers and investment strategies in delivering high-impact insights and tools that strengthen and inform the investment decision-making process.
- To develop the team’s expertise in leveraging data, quantitative techniques, and AI/ML methodologies to deliver comprehensive, data-driven insights and evidence-based recommendations.
- To enhance and innovate across various stages of the investment process by applying quantitative and AI/ML tools, thereby expanding our capabilities in scale, depth, and performance. Additionally, you will contribute to the broader organization by sharing analytical tools and data-driven insights, fostering collective domain expertise.
 
Responsibilities:
- Serve as a strategic thought partner to department and investment leaders, leveraging data, quantitative techniques, and AI/ML methods to enhance investment processes, shape the department’s analytical capabilities, and conduct research focused on capital allocations, portfolio construction, optimization, and risk management.
- Lead and manage quantitative research and analysis across the entire investment process, from manager screening and selection to strategy due diligence and portfolio construction, ensuring high research quality and timely delivery.
- Oversee and govern the implementation of models, analysis, and tools to ensure alignment with best practices and team-wide infrastructure, while managing the team's model and analytics operations.
- Facilitate the sharing and cross-pollination of quantitative applications, analysis, and tools across departments, while providing macro-level insights to the team.
Qualifications:
- Master’s or Doctoral degree in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, Engineering, or Economics.
- 8-12 years of relevant experience in quantitative research and analysis, with a strong emphasis on applying quantitative methods and AI/ML techniques in capital allocation, portfolio construction, optimization, and sk management.
- • Experience in a fund allocator environment is highly desirable, along with a solid understanding of macroeconomic trends, credit and equity investing, and capital markets, complemented by exceptional communication skills to effectively understand, influence, and secure buy-in from stakeholders.
- Proficiency in programming languages such as R or Python, along with SQL.
 
This is in partnership with the Employment and Employability Institute Pte Ltd (“e2i”).
 
e2i is the empowering network for workers and employers seeking employment and employability solutions. e2i serves as a bridge between workers and employers, connecting with workers to offer job security through job-matching, career guidance and skills upgrading services, and partnering employers to address their manpower needs through recruitment, training, and job redesign solutions. e2i is a tripartite initiative of the National Trades Union Congress set up to support nation-wide manpower and skills upgrading initiatives.
 
By applying for this role, you consent to GMP Technologies (S) Pte Ltd’s PDPA and e2i’s PDPA.
 
For more information, please visit to and search for Job Reference: QXX859VR
 
We regret that only shortlisted candidates will be notified.
 
GMP Technologies (S) Pte Ltd | EA Licence: 11C3793 | Tang Lee Ling | Registration No: R
 
Is this job a match or a miss?
 
            
        
                                            
            
                 
            
        
                    Financial Analysis Specialist
Posted today
Job Viewed
Job Description
The Client Due Diligence Executive role is a critical position within our organization, requiring a skilled professional to conduct due diligence analysis on prospective customers.
Key Responsibilities
- Conduct thorough investigations into the financial and operational history of potential clients.
- Perform regular reviews of the existing customer base to identify areas for improvement.
- Collaborate with internal teams to gather necessary information or documentation for reviews.
- Provide actionable findings and recommendations to support informed decision-making.
- Assist with administrative tasks as required to ensure seamless operations.
Required Skills and Qualifications
The ideal candidate will possess strong analytical skills, excellent communication abilities, and the ability to work independently. Proficiency in Microsoft Office, particularly Excel, is also essential for success in this role.
Benefits
This role offers a dynamic and challenging work environment, providing opportunities for growth and development. If you are a motivated and detail-oriented professional looking to make a meaningful contribution, we encourage you to apply.
Other Information
Please note that all applications will be thoroughly reviewed and responded to in a timely manner. We look forward to hearing from you.
Is this job a match or a miss?
 
            
        
                                            
            
                 
            
        
                    Financial Analysis Manager
Posted 3 days ago
Job Viewed
Job Description
Job Responsibilities:
- Work together with various departments to develop annual budget, including setting operational goals
- Develop and maintain bottoms-up financial models which reflect revenue / cost drivers of key accounts.
- Analyze trends and variances between actual and budget, as well as provide insights and action plans to achieve/outperform budget
- Run analysis to uncover growth opportunities, cost efficiencies, or ways to further mitigate risks
- Work closely with internal stakeholders to ensure financial reporting timelines are met
- Work with the finance team to prepare reports, providing financial insights and business judgement to facilitate decision-making
- Assist with the preparation of internal materials for management and board meetings
- Engage in the development of new processes and tools to deliver impact and insights that drive decision-making
 
Job requirement:
 
- Degree in Accounting / Business Management / Finance
- Prior experience in FP&A and/or financial accounting teams is required
- Excellent knowledge and background in budgeting, financial modelling, investor reporting, financial operations, and accounting
- Strong written and verbal communication skills and comfortable interacting with internal and external stakeholders
- Eager to learn and embrace new challenges, with strong desire to develop professionally
- Strong quantitative, analytical, and problem-solving skills
- Able to work independently with high attention to detail
Is this job a match or a miss?
 
            
        
                                            
            
                 
            
        
                    Careers in Financial Analysis
Posted today
Job Viewed
Job Description
Financial Analyst (Cost Driver)
About the Role
We are seeking a skilled Financial Analyst to join our team. As a key member of the finance department, you will play a crucial role in analyzing and interpreting financial data to inform business decisions.
Key Responsibilities
- Analyze operational cost data to identify trends and areas for improvement
- Develop and maintain cost allocation methodologies in ERP systems
- Evaluate the financial viability of commercial transactions
- Partner with cross-functional stakeholders to drive profitability
- Prepare and analyze business segment reports for management and shareholders
- Assist with regulatory and compliance activities
Requirements
- Bachelor's degree in Finance, Accounting, or related field
- 3+ years of experience in financial analysis or accounting
- Strong analytical and problem-solving skills
- Excellent communication and interpersonal skills
- Ability to work independently and as part of a team
- Proficient in ERP systems and Microsoft Office
Benefits
- Competitive salary and benefits package
- Ongoing training and development opportunities
- Flexible working arrangements
- Opportunities for career growth and advancement
Other Information
- Please note that this role may require occasional travel to other locations
- Applicants must be eligible to work in Singapore
Is this job a match or a miss?
 
            
        
                                            
            
                 
            
        
                    Senior Financial Analysis Specialist
Posted today
Job Viewed
Job Description
This role involves leading requirement gathering sessions with stakeholders, translating business requirements into functional specification documents, and supporting analysis and functional design. The ideal candidate will have hands-on knowledge of Fircosoft, experience in payment screening and sanctions monitoring projects, and excellent stakeholder management skills.
Key Responsibilities:
- Lead and manage requirement gathering sessions
- Translate business requirements into Functional Specification Documents (FSDs)
- Support analysis and functional design of Fircosoft upgrades
- Serve as liaison between business and technical teams
- Define test strategy and validate test cases
- Support user acceptance testing (UAT)
- Participate in defect triage and resolution
- Provide business process insights and recommendations
- Degree in Information Technology or related discipline
- At least 5 years of experience as Business Analyst in payment screening/sanctions monitoring projects
- Hands-on knowledge of Fircosoft and SWIFT/MT message formats
- Experience preparing FSDs and test documentation in financial services environment
- Familiarity with UAT planning, execution, and defect management
- Excellent stakeholder management, communication, and documentation skills
Why This Role Matters
This role plays a crucial part in driving our business forward by ensuring that our team has the necessary expertise to deliver high-quality solutions.
Is this job a match or a miss?
 
            
        
                                            
            
                 
            
        
                    Freight Forwarding Financial Analysis Specialist
Posted today
Job Viewed
Job Description
This role focuses on providing critical financial insights to support strategic decision making.
Key Responsibilities:- Analyze financial data to identify trends, opportunities, and areas for improvement.
- Develop financial models to inform budgeting, forecasting, and performance measurement.
- Ensure accurate financial reporting and compliance with accounting standards.
- Expertise in Excel PivotTables and advanced formulas to manipulate large datasets.
- Proficiency in Power BI to design and maintain dashboards visualizing financial metrics.
- Strong analytical skills to understand freight cost structures, billing accuracy, and profitability.
- Opportunity to work with a diverse team of professionals.
- Chance to develop expertise in financial analysis and modeling.
- Flexible working arrangements to balance work-life demands.
- Dedicated resources for ongoing training and development.
- Regular feedback and coaching to enhance performance.
- A collaborative work environment that fosters open communication.
Is this job a match or a miss?
 
            
        
                                            
            
                 
            
        
                    Be The First To Know
About the latest Investment strategies Jobs in Singapore !
Corporate Financial Planning Analysis
Posted today
Job Viewed
Job Description
Singapore, Central, Singapore (SGP,Hill Street_06)
Department
Group Financial Planning & Analysis
Job posted on
Sep 04, 2025
Employment type
Permanent
About Sembcorp
Sembcorp is a leading energy and urban solutions provider headquartered in Singapore. Led by its purpose to drive energy transition, Sembcorp delivers sustainable energy solutions and urban developments by leveraging its sector expertise and global track record.
Purpose & Scope
Reporting to the AVP, Corporate FPA, this role will be responsible for supporting Corporate FPA Function for forecasting, budgeting and management reporting of corporate entities and corporate functions. This role will also act as the Finance Business Partner for corporate functions, ensuring robust tracking, forecasting, reporting and communication of department spend and recoveries.
Key Roles and Responsibilities
- Consolidation of Corporate entities P&L for monthly forecasts and yearly budgeting
- Responsible for all financial functions, including:
- review and perform analysis of monthly closing and forecast
- lead budgetary control
- capital expenditure and cash management
- transfer pricing management
- Identify key drivers for business and develop mechanism for effective tracking, reporting as well as analytical evaluation to continuously improve business efficiency.
- Review and implement financial and risk management policies and procedures to ensure effective internal control, proper accounting practices and financial reporting, and to comply with Group policies and procedures.
- Custodian of Financial Authority Limits for Corporate Functions and ensure timely update and compliance.
- Supports capital and treasury management for Corporate investment holding entities, plans and coordinates investment and divestment fund flows to minimize tax and forex exposures.
- Other ad hoc duties assigned to meet organizational requirements.
- To understand and align interests for various stakeholders across functions and geographies
- Provide insights and solutions and the financial implications on course of actions
Qualifications, Skills & Experience
- Tertiary education in accounting
- Preferably 10 to 15 years of working experience in accounting/finance related field with at least 3 years of Finance Business Partnering related work experience
- Good knowledge of IFRS
- Good interpersonal skills, demonstrated ability to interface with various management levels across functions
- Possess Critical thinking, excellent problem diagnosis and analytical skills
- Proficiency in Microsoft office including Excel and PowerPoint
- Good knowledge in accounting related systems preferably SAP and Tagetik
- Ability to multi-task and work under pressure, both independently and in a team.
- Able to be self-motivated and driven, and encourage cohesive work team.
Our Culture at Sembcorp
At Sembcorp, our culture is shaped by a strong set of shared behaviours that guide the way we work and uphold our commitment to driving the energy transition.
We foster an institution-first mindset, where the success of Sembcorp takes precedence over individual interests. Collaboration is at the heart of what we do, as we work seamlessly across markets, businesses, and functions to achieve our goals together. Accountability is a core principle, ensuring that we take ownership of our commitments and deliver on them with integrity and excellence. These values define who we are and create a workplace where our people can thrive while making a meaningful impact on driving energy transition.
Join us in making a real impact
Is this job a match or a miss?
 
            
        
                                            
            
                 
            
        
                    Analyst (FINANCIAL PLANNING & ANALYSIS)
Posted today
Job Viewed
Job Description
 Join to apply for the 
 Analyst (FINANCIAL PLANNING & ANALYSIS)
 role at 
 PSA International . 
 We are seeking a motivated analyst to support line managers in preparing management reports and analysis schedules. The candidate will be involved in data projects, documenting best practices, and continuous process improvement. 
 Key Responsibilities 
 Assist line managers in preparing management reports and analysis schedules for financial review. 
 Coordinate submission parties to ensure accuracy and timeliness. 
 Support data projects and document best practices. 
 Seek continuous process improvements. 
 Conduct research and data collation for benchmarking analysis. 
 Participate in ad-hoc projects as assigned. 
 Experience 
 Fresh graduates or those with experience in Financial Analysis or Group financial consolidation are preferred. 
 Self-motivated with excellent communication skills and the ability to work with diverse cultural backgrounds. 
 Ability to work under pressure and meet tight deadlines, independently and in teams. 
 Strong critical thinking, problem-solving, and analytical skills. 
 Proficiency in Microsoft Office (Excel, PowerPoint) and PowerBI. 
 Good knowledge of IFRS. 
 Additional Details 
 Seniority level: Entry level 
 Employment type: Full-time 
 Job function: Other 
 Industries: Transportation, Logistics, Supply Chain, Storage 
#J-18808-Ljbffr 
Is this job a match or a miss?
 
            
        
                                            
            
                 
            
        
                    Financial Planning & Analysis Manager
Posted today
Job Viewed
Job Description
 The incumbent is to support all aspects of the financial planning and analysis, including but not limited to weekly forecasts, monthly forecast, quarterly forecast, month end closing and year end closing, budget and strategic plan. The position reports to CFO 
 Responsibilities 
 Financial analysis and reporting - Evaluates data and measures impact of risks and opportunities to make recommendations and articulates implications of choices to business partners. E.g. trend analysis, cost/benefit analysis 
 Information and system management - Understand how data is structures and can navigate systems efficiently. Applies business knowledge to system solutions to support business decision. 
 Budget and Strategy planning - Manages processes that plan, track, measure and interpret operating performance. Guides/Assesses financial forecasts. Evaluates and identifies operating risks and opportunities. Communicates results that assist with resource allocation decisions. 
 Project management - Execute project while ensuring efficient utilization of resources. Communicates project status, issues, and resource need effectively 
 Prepares and analyses financial data such as but not limited to costing, pricing, sales, gross profit, market sector as well as product analysis. 
 Assist in the monitoring of operating results : sales, GP, OPEX, Operating Income, CAPEX and Working capital 
 Assist in Forecast, Budget and month end closing by the management team on financial analysis. 
 Assist in the preparation of weekly, monthly, quarterly and yearly P&L account, balance sheet and Working capital 
 Work closely with CFO, Finance team and local management to prepare weekly flash forecast (including revenues, operating income and working capital and prepare the annual plan 
 Work and liaise with Regional/Corp FP&A team to standardize the reporting 
 Any other duties as assigned 
 Requirements 
 Candidate must possess bachelor's degree in Accounting / Finance with at least 7 - 10 years of experience in similar role. 
 Qualification of Chartered Financial Analyst (CFA) would be an added advantage 
 Preferable from IT industry in distributor environment. 
 Good knowledge in computer skills such as SAP system, Hyperion, Essbase, Smart View, OneStream 
 Advanced proficiency in using Microsoft Office software especially Excel 
 Ability to work individually and as a team member 
 Able to communicate effectively with various stakeholders 
 Ability to multitask and meet constant deadlines 
#J-18808-Ljbffr 
Is this job a match or a miss?
 
            
        
                                            
            
                