399 Investment Strategies jobs in Singapore
Investment Analyst ,Discretionary Strategies
Posted 10 days ago
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Job Description
ExodusPoint Capital, founded in 2017 by Michael Gelband and Hyung Lee, began managing investor capital in 2018. The firm employs a global multi-strategy investment approach, seeking to deliver compelling asymmetric returns by combining complementary liquid strategies managed by experienced investment professionals within a robust risk framework. ExodusPoint brings together an accomplished team with hands-on experience running multi-manager businesses to create an institutional investment management firm.
We are looking for a Discretionary Strategies Investment Analyst to join our team in Singapore.This person will work closely with portfolio managers for generating investment ideas,structuring and implementing trades & monitoring the current portfolio.
Responsibilities:
- Conduct thorough research analysis and modeling including macro and micro fundamentals, technicals, market sentiment and news & flow impact, etc
- Facilitate the implementation of investment thesis and performance attributions
Qualifications
- Degree from leading university in finance, economics, engineering, computer sciences, and/or math
- Good communication skills to collaborate both within and across teams
- Prior experience in financial market positions and passion for public market investing
- Strong analytical and quantitative skills with attentions to details
Financial Analysis Specialist
Posted today
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Audit Assistant Job Overview
This role involves working under the guidance of senior auditors to ensure the accuracy of accounting systems and procedures.
Key Responsibilities:- Internal Audit Control Review
- Accounting Books Verification
- Regulatory Compliance
The candidate will be responsible for reviewing, assessing, and recommending changes in internal audit controls. This includes verifying that accounting books and records conform to industry practices and corporate policies.
Analytical Skills Required
A strong analytical mind and attention to detail are essential skills required for this position. The candidate must be able to study financial statements, such as budgets, balance sheets, and related records, and identify any discrepancies or areas for improvement.
Benefits of the Role
This is a great opportunity for individuals who enjoy working with numbers and have a keen eye for detail. The successful candidate will have the chance to work on a variety of projects and develop their skills and knowledge in a dynamic and fast-paced environment.
Requirements
To be considered for this role, you will need to have a strong background in finance and accounting. You should also have excellent analytical and problem-solving skills, as well as the ability to communicate effectively with colleagues and stakeholders.
Financial Analysis Expert
Posted today
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About the Role:
We are seeking a highly skilled and detail-oriented Financial Analysis Expert to join our team. As a key member of our organization, you will be responsible for evaluating the credit worthiness of new dealers, reviewing accounts to assess their ability to meet credit obligations, and identifying potential risks.
Main Responsibilities:
- Evaluate the overall credit worthiness of new dealers and review accounts to assess their ability to meet credit obligations periodically.
- Write credit proposals during the loan origination process and make recommendations.
- Support relationship managers with all credit-related matters.
- Perform loan portfolio analysis, industry analysis, and peer comparisons.
- Ensure compliance with credit policies, rules, and procedures.
Requirements:
- Diploma qualification or equivalent.
- Strong analytical skills with a grasp of financial analysis.
- Ambitious and result-driven individual providing excellent customer experience.
- Competent in English (verbal & written).
- High level of integrity, meticulous, and detail-orientated.
- Ability to operate in a flexible environment, multitask, and deliver results under pressure.
Desirable Skills:
- Microsoft Excel.
- Due Diligence.
- Analytical Skills.
- Customer Experience.
- Credit Risk.
- Financial Analysis.
Financial Analysis Expert
Posted today
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We are seeking a highly skilled Senior Financial Analyst to join our team. As a key member of our finance department, you will be responsible for reviewing and authorizing AR invoices, AP invoices, and payment vouchers. You will also review related party transactions, prepare consolidation of financial statements, and handle GST reporting, corporate tax reporting, and deferred tax computation.
Key Responsibilities:- Review and authorize AR invoices, AP invoices, and payment vouchers
- Review related party transactions
- Prepare consolidation of financial statements and financial reports for management and statutory reporting within the timeline
- Handle GST reporting, corporate tax reporting, and deferred tax computation
Key Skills and Qualifications:
- Advanced accounting skills, including accounts payable, accounts receivable, and cash flow management
- Strong analytical and problem-solving skills
- Excellent communication and interpersonal skills
- Ability to work in a fast-paced environment and meet deadlines
- Proficiency in Microsoft Office, particularly Excel
What We Offer:
- A competitive salary and benefits package
- Ongoing training and professional development opportunities
- A dynamic and supportive work environment
How to Apply:
If you are a motivated and detail-oriented individual with a passion for finance, please submit your resume and cover letter for consideration.
Financial Analysis Expert
Posted today
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Credit Risk Specialist Role
We are seeking a skilled Credit Risk Specialist to join our team. The successful candidate will be responsible for conducting thorough analysis of financial statements of new and existing counterparties to evaluate creditworthiness. This involves preparing detailed profile reports covering company background, operations, financial status, performance, and market reputation.
Key Responsibilities:
- Conduct thorough analysis of financial statements of new and existing counterparties for creditworthiness evaluation.
- Prepare detailed profile reports covering company background, operations, financial status, performance, and market reputation.
- Provide recommendations based on analysis for credit decision-making.
- Monitor credit exposure and identify early warning signs of potential defaults or breaches.
- Develop and prepare spreadsheets and models to support analysis of new and existing credit applications.
- Assist in development and implementation of risk mitigation strategies to address identified risks.
- Degree in Finance, Accounting, Business, Economics, or related field.
- 3-5 years of experience in credit analysis, preferably within commodities or financial services sectors.
- Strong understanding of financial statements, credit risk analysis, and financial modeling techniques.
- Excellent communication and interpersonal skills, with ability to interact effectively with internal teams and external stakeholders.
- A proactive and results-driven mindset with ability to solve complex problems and make informed decisions.
Expert Financial Analysis Professional
Posted today
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We are seeking an experienced Investment Analyst to join our team. The ideal candidate will have a strong understanding of financial analysis, market research and investment strategies.
Job Description:
The successful candidate will be responsible for conducting market research and diligence on prospective investments through financial analysis to identify investment opportunities and risks. They will also design and develop financial models and analysis to evaluate both new and existing investments.
Required Skills and Qualifications:
- Candidates should hold at least a Degree in Accountancy, Finance or an equivalent certification.
- A self-starter with the ability to work independently with minimal supervision.
- Excellent analytical and communication skills with high attention to detail and quality.
- Proficient in Microsoft Office (Excel and Powerpoint).
Benefits:
This is an excellent opportunity to work in a dynamic and fast-paced environment with a competitive salary package.
Others:
The company values diversity and inclusion in the workplace and encourages applications from candidates of all backgrounds.
Career Opportunities in Financial Analysis
Posted today
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We are seeking a highly skilled Finance Business Analyst to join our team.
About the Role:The successful candidate will be responsible for utilising data visualisation and analytical modelling to evaluate business processes and deliver actionable insights that inform strategic decision-making.
Key responsibilities include applying critical thinking to analyse market dynamics and uncover new opportunities for sustainable growth, as well as proactively cultivating and strengthening business relationships within the organisation.
The ideal candidate will have excellent project management skills, with experience in managing full project lifecycles with precision and ensuring timely and successful delivery.
Required Skills:The successful candidate will possess strong analytical and problem-solving skills, with the ability to communicate complex financial information clearly to stakeholders.
Additionally, they will have experience in financial regulations and internal policies, with the ability to prepare documentation and support audit processes as needed.
Benefits:As a valued member of our team, you can expect a range of benefits including access to continuous learning opportunities and a supportive environment to grow personally and professionally.
Our open-concept office is located near Novena MRT, offering easy access to shopping malls, medical facilities and cafes.
Fun and inspiring work culture, encouraging creativity and out-of-the-box thinking.
Opportunities to initiate and participate in multiple projects, with exposure to the financial industry.
How to Succeed:To succeed in this role, you will need to be a proactive and motivated individual with excellent communication and interpersonal skills.
Experience in the financial industry and knowledge of financial regulations would be an advantage.
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Analyst (FINANCIAL PLANNING & ANALYSIS)
Posted 2 days ago
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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.
- 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.
- Seniority level: Entry level
- Employment type: Full-time
- Job function: Other
- Industries: Transportation, Logistics, Supply Chain, Storage
Corporate Financial Planning Analysis
Posted today
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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
Analyst (FINANCIAL PLANNING & ANALYSIS)
Posted today
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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
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