Investment & Financial Analyst
Summary
Manages capital, cash flow, and investment activities for a Singapore-based investment firm, using derivatives for hedging and tracking risk-adjusted returns.
Capital Management & Treasury
- Manage the firm’s capital and cash resources to optimize risk-adjusted returns.
- Support capital markets investment activities by applying derivatives for hedging and yield enhancement.
- Monitor and forecast cash flow, working capital, and funding requirements to ensure liquidity.
- Prepare performance reports and internal dashboards to track capital deployment and returns.
- Coordinate with banks, brokers, and counterparties on account operations, trade settlements, and documentation.
Asset & Wealth Management
- Provide administrative and analytical support for asset management related to the firm’s principals/shareholders and related parties.
- Assist in tracking portfolios, maintaining records, and generating reports across financial assets.
- Coordinate with external professionals such as banks, lawyers, property managers, and tax advisors for internal asset matters.
Research & Risk Monitoring
- Conduct market, asset class, and investment product research to inform the firm’s investment decisions.
- Assist in due diligence and performance reviews of investment products held by the firm.
- Track risk exposures including market, credit, liquidity, and operational risks, and escalate issues to senior team members.
- Prepare research notes and internal briefing materials to support decision-making.
General Support Across the Firm
- Contribute to administrative, operational, and ad hoc tasks to support firm operations.
- Initiate and implement process improvements to enhance efficiency within the firm’s lean structure.
- Support internal compliance and audit-related activities as required.