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Portfolio Manager Jobs in Singapore 2026 | Quick Hiring

Portfolio Manager Jobs in Singapore 2026

Portfolio Manager Jobs in Singapore 2026 | Quick Hiring

Step into a high-impact investment role designed for professionals experienced in global macro trading strategies. This position places you at the forefront of systematic investing within rates and foreign exchange markets. Based in Singapore, the role offers visa sponsorship and relocation support for global candidates.

As a Portfolio Manager, you will manage capital across Asia-Pacific markets while operating on a global scale. Moreover, you will exploit cross-asset opportunities driven by rate differentials, currency movements, and volatility shifts. You will also develop systematic strategies to identify inefficiencies and execute trades with precision. Ultimately, this role suits individuals who thrive in data-driven environments and complex financial markets.

About the Hiring Firm

The hiring firm, Onyx Alpha Partners, connects top-tier investment professionals with leading global financial institutions. It specialises in placing talent within high-performance hedge funds and multi-strategy investment firms. Additionally, the firm supports candidates throughout recruitment, ensuring alignment with long-term career goals.

The opportunity itself is with a global multi-strategy investment company operating within Asia’s financial hub. Furthermore, the organisation leverages advanced data infrastructure and collaborative trading environments to maximise performance. Therefore, professionals gain access to cutting-edge tools and a strong global investment network.

Job Duties

  • Develop and manage systematic global macro strategies focused on rates and foreign exchange markets.
  • Identify cross-asset dislocations driven by interest rate differentials and currency market dynamics.
  • Execute trades across developed and emerging markets using disciplined, data-driven frameworks.
  • Analyse central bank policies and detect potential market interventions impacting currency movements.
  • Monitor portfolio risk, stress-test strategies, and manage exposure during volatile market conditions.
  • Collaborate with cross-functional portfolio managers to refine strategies and enhance execution performance.

Job Requirements

  • Possess six to eleven years of experience in global macro, FX trading, or systematic investment roles.
  • Demonstrate a strong performance track record with consistent profitability and risk-adjusted returns.
  • Exhibit advanced knowledge of emerging market currencies and global interest rate dynamics.
  • Maintain proficiency in Python, SQL, and quantitative backtesting frameworks.
  • Demonstrate expertise using financial tools such as the Bloomberg Terminal effectively.
  • Show strong analytical skills and the ability to manage large investment portfolios independently.

Click Here to Apply

Conclusion

This opportunity offers a powerful platform to excel within Singapore’s world-class financial services industry. With competitive compensation, bonuses, and relocation support, it attracts elite global talent. Moreover, the role provides exposure to complex macro strategies within a collaborative investment environment. If you are ready to elevate your portfolio management career, this position offers an exceptional next step.

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