About this role
Design and manage complex derivatives-based strategies and index-linked investment products to enhance risk-adjusted returns. Oversee cross-asset derivatives portfolios and optimize collateral resources to ensure economic efficiency and regulatory compliance.
Requires at least 10 years of experience in structuring or managing linear and non-linear derivatives, preferably on the sell side. Strong expertise in Python, Numerix, and financial engineering is expected, with knowledge of insurance regulations and ALM strategies preferred.
What they're looking for
Derivatives StructuringPortfolio ManagementLDI-ALMCollateral ManagementPythonNumerixFinancial EngineeringXVA
Frequently asked questions
What does a Portfolio Manager, Derivatives (AIA Investment Management) at AIA do?
Design and manage complex derivatives-based strategies and index-linked investment products to enhance risk-adjusted returns. Oversee cross-asset derivatives portfolios and optimize collateral resources to ensure economic efficiency and regulatory compliance. Requires at least 10 years of experience…
What skills does this Portfolio Manager, Derivatives (AIA Investment Management) role need?
Key skills for this role include Derivatives Structuring, Portfolio Management, LDI-ALM, Collateral Management, Python, Numerix.
How much does a Portfolio Manager, Derivatives (AIA Investment Management) at AIA pay?
The employer did not list a salary for this role. Most similar Singapore roles publish their band on the job page.
Is this Portfolio Manager, Derivatives (AIA Investment Management) role remote, hybrid, or on-site?
This role is on-site, based in Singapore.
How do I apply for this Portfolio Manager, Derivatives (AIA Investment Management) role?
You can apply directly on AIA's careers page. ApplyLah can tailor your résumé and cover letter to this exact role in seconds first.