Investment Manager (Multi-Asset: Equities, Bonds and Real Estate)
post-template-default,single,single-post,postid-16500,single-format-standard,bridge-core-1.0.5,ajax_fade,page_not_loaded,,vertical_menu_enabled,qode-title-hidden,side_area_uncovered_from_content,footer_responsive_adv,qode-content-sidebar-responsive,qode-theme-ver-18.1,qode-theme-bridge,disabled_footer_top,wpb-js-composer js-comp-ver-6.0.2,vc_responsive

Investment Manager (Multi-Asset: Equities, Bonds and Real Estate)

This is a family office with substantial AUM and still looking to potentially increase their asset allocation to their multi-asset strategies such as equities, bonds and properties in gateway cities.

You will be involved in macro-economic research of main economies such as USA and China and provide fundamental and technical analysis of equities. You will provide advice and guidance for investment opportunities to the management. You will be highly involved in reporting on performance on its equities, bond and properties portfolio. For Real Estate – they do have direct and indirect properties. This is an all-encompassing role which will include investment, asset management and portfolio management.

You are degree & above qualification in business, finance, investment or a related field preferred or with CFA/CAIA. You come with more than 8 years of experience working in investment and financial assets management as an Analyst or Fund manager in a financial institution environment. You have strong understanding of investment strategies and risk management across different asset classes such as equities, fixed income and property.

To apply, please send your CV in word doc including details on your current salary, expected salary and notice period. You can email to

We regret to inform that only shortlisted candidates will be notified.