L/S Equity Analyst (Asian Equities, Generalist) - Singapore
At Octavius Finance, we are a leading supplier of investment management talent across the global asset management industry, partnering with some of the world’s most prestigious hedge funds, asset managers, and investment firms. We specialise in placing exceptional investment professionals into buy-side careers spanning equity research, portfolio management, and investment analysis across international financial markets.
We are currently partnering with a globally recognised investment management firm to hire a Long/Short Equity Analyst for its Singapore investment team.
Our client, a leading global investment firm based in Singapore, is seeking a highly motivated, intellectually curious, and commercially minded investment professional to join its long/short equities investment team covering Asian equities markets.
Senior Portfolio Manager — Multi-Asset & Fixed Income Allocation - Singapore
Octavius Finance is exclusively partnering with a leading global institutional investment platform to appoint a Senior Portfolio Manager into its central investment and portfolio construction team in Singapore. This is a senior buy-side opportunity focused on Multi-Asset Portfolio Management, Strategic Asset Allocation (SAA), Tactical Asset Allocation (TAA), Fixed Income investing, Macro Strategy, and Cross-Asset Risk Allocation across institutional portfolios. The successful candidate will play a key role in driving portfolio construction, risk budgeting, volatility targeting, macro-driven investment strategy, and capital allocation decisions across global Fixed Income, FX, Equities, Inflation, and diversified Macro mandates. Working closely with senior investment leadership, the role offers direct exposure to Investment Committee decision-making, portfolio overlays, quantitative asset allocation frameworks, and institutional-scale portfolio optimization within a globally recognized investment platform managing long-term capital.
Senior Portfolio Manager – Multi-Asset & Fixed Income Allocation | Octavius Finance
Octavius Finance is exclusively partnering with a world-class Large Platform Buy-Side Investment Manager to appoint a Senior Portfolio Manager to its central investment team in Singapore.
This is a high-impact, "central-seat" mandate within a global portfolio management function. You will be responsible for Capital Allocation, Portfolio Construction, and Risk Budgeting across a sophisticated range of Fixed Income and Multi-Asset strategies. Supported by stable, long-term institutional capital, this role offers a rare opportunity to drive top-down capital deployment and cross-asset risk allocation for one of the region’s most respected platforms.
Equity Analyst (Asian Financials) – Global Investment Management Firm, Singapore
Octavius Finance is partnering with a leading global long-only investment management firm to appoint a Senior Equity Analyst to cover Asian Financials. This is a senior buy-side research role covering Asian banking and broader financials stocks, with a focus on delivering alpha-generating insights across Korea, China, Taiwan, and wider Asian markets.
This opportunity is ideal for a highly experienced equity research analyst or long-only equities investor with deep expertise in fundamental analysis, financial modelling, and Asian financial markets. The role sits within a high-performing institutional investment platform who are a leading player in their field.
G10 Rates & FX Volatility Portfolio Manager | Octavius Finance
Octavius Finance has been retained by a leading Large Platform Buy-Side Investment Manager to identify a specialist G10 Rates & FX Volatility Portfolio Manager. Joining the firm’s Singapore-based Global Macro team, you will focus exclusively on G10 developed markets, leveraging a high-performance environment designed for sophisticated volatility strategies.
This platform is defined by its stable institutional capital and an industry-leading infrastructure across risk management, trade execution, and quantitative technology.
Senior Equity Analyst, Asia Financials – Leading Investment Management Firm, Singapore
Our client, a leading global investment management firm, is seeking a highly motivated and intellectually curious individual to join its Singapore-based investment team as a Senior Analyst covering Asian financials, including banks, insurance, and asset managers.
EM Asia Rates & FX Strategist – Singapore
We’re working with a leading global multi-manager hedge fund looking to hire an EM Asia Rates & FX Strategist into their Singapore-based Macro pod.
Asia Economist (China & Japan Focus) – Global Asset Manager | Singapore
We are partnering with a leading global asset manager seeking an Asia Economist to join their Macro Strategy team in Singapore.
Portfolio Manager – Tactical Asset Allocation – Singapore
We are partnering exclusively with a global buy-side investment platform to appoint a Junior Portfolio Manager within the CIO Office, focused on asset allocation and portfolio construction.
Rates & FX Macro Strategist – Boutique Sell-Side Firm (Singapore)
We’re partnered with a boutique global research and trading firm seeking a Rates & FX Macro Strategist to join their Singapore office.
Quantitative Researcher – Global Asset Manager (London)
We’re partnered with a leading global asset management firm seeking a Vice President to join their Quantitative Research & Risk Modeling team in London.
Macro Quant PM & Strategist – Large Platform Buy-Side Firm (Singapore)
We are exclusively partnered with a leading global investment firm seeking a Macro Quant PM & Researcher to join their Fixed Income & Multi-Asset team in Singapore.
Global Macro Rates Strategist/Associate PM – London
We’re exclusively partnered with a hedge fund seeking an Equity Research Analyst to join their investment team.
Associate / VP – Developed Markets Rates Strategist – Singapore
We’re exclusively partnered with a hedge fund seeking an Equity Research Analyst to join their investment team.
Developed Market Rates Strategist (Associate / VP) – Singapore
We’re working with a leading global investment institution seeking a Developed Market Rates Strategist to join their Macro Research & Strategy team in Singapore.
Fixed Income/FX Developed Markets Strategist (Associate / VP) – Singapore
We’re working with a leading global investment institution seeking a Macro Research & Strategy Analyst to join their team in Singapore.
Senior Quantitative Strategist – Equities Execution & Microstructure
We are partnering with a top-tier investment firm to find a Senior Quantitative Strategist for their Singapore office.
Senior Quantitative Strategist – Equities Execution & Microstructure
Our client is looking for someone with a proven track record of producing impactful analysis, tools, or research in a trading or execution-focused setting.
Quantitative Trade Researcher – Leading Buy-Side Firm – Singapore
A leading buy-side firm is seeking an experienced Quantitative Researcher to join its team.