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APAC Investment Treasury Portfolio Analyst

Wellington Management

SingaporeFull-timeHybrid

Posted 25 Jun 2026

About this role

Manage portfolio currency exposures, liquidity, and funding across APAC and London time zones. Coordinate regional repo activity and develop scalable analytics tools to improve transparency and reduce operational risk. Requires 3-5 years of experience in investment management or capital markets with strong quantitative skills and a deep interest in fixed income and FX. Proficiency in Python or SQL is highly valued for automation and analytics.

What they're looking for

Liquidity ManagementCurrency Exposure ManagementRepo ActivityPortfolio AnalysisFixed IncomeForeign ExchangeDerivativesPython

Frequently asked questions

What does a APAC Investment Treasury Portfolio Analyst at Wellington Management do?

Manage portfolio currency exposures, liquidity, and funding across APAC and London time zones. Coordinate regional repo activity and develop scalable analytics tools to improve transparency and reduce operational risk. Requires 3-5 years of experience in investment management or capital markets with…

What skills does this APAC Investment Treasury Portfolio Analyst role need?

Key skills for this role include Liquidity Management, Currency Exposure Management, Repo Activity, Portfolio Analysis, Fixed Income, Foreign Exchange.

How much does a APAC Investment Treasury Portfolio Analyst at Wellington Management pay?

The employer did not list a salary for this role. Most similar Singapore roles publish their band on the job page.

Is this APAC Investment Treasury Portfolio Analyst role remote, hybrid, or on-site?

This role is hybrid, based in Singapore.

How do I apply for this APAC Investment Treasury Portfolio Analyst role?

You can apply directly on Wellington Management's careers page. ApplyLah can tailor your résumé and cover letter to this exact role in seconds first.