Company Description
12-year old Singapore-based boutique asset management firm set up by fund managers with over twenty five years each of investment management experience at some of the world’s top global asset management firms. Founder Homiyar Vasania was a key part of Morgan Stanley’s Emerging Markets team in Singapore and former partner Jamshed Desai was a fund manager with Rexiter Asset Management, majority owned by State Street Global Advisors, Boston.
RVAM is a Capital Markets Services (CMS) licence-holder regulated by MAS and manages money on a discretionary basis for large family offices, institutional investors and UHNW individuals. We run a multi asset, global strategy and believe in being a trusted financial partner to our clients. Our simple and time-tested investment ethos is backed by robust operational and compliance processes, and aims to achieve a consistent return with relatively low volatility for our clients.
The role offers a unique opportunity to build skills and experience in fund management by working closely with highly experienced fund managers with wisdom in long term investing honed across multiple market cycles. The role would enable valuable learning on investment research into globally based businesses and industries as well as multi-asset portfolio structuring as part of a small and dynamic investment team in a firm with great pedigree and growth potential. The chosen person would be a key contributing member in the team and would enjoy autonomy and influence on smaller portfolios while also gaining a holistic view and unmatched hands on experience of multi-asset portfolio management.
Roles and responsibilities:
In this role you would have hands on involvement in:
· Conducting research on companies and industries using primary and secondary data sources as well as analysis of corporate financial statements
· Working on creating financial models incorporating the impact of company-specific, sector-related as well as macroeconomic factors
· Working with the fund managers to strategize on portfolio structuring, construction and management
· Working with the fund managers to create internal stock reports and documentation on securities
· Joining fund managers in attending company meetings and research conferences and calls as required
Job Requirements:
To be successful in this role, you would need some of the following:
· 3-5 years’ experience in investment research
· Strong demonstrated financial analytical skills and interest in portfolio construction and management
· A learning mindset and deep interest in business analysis and macroeconomics
· Strong ability to work in and contribute to small teams
· It would be an advantage if the applicant is a speaker of any Asian language
Please include samples of any company or industry reports/ analysis that you have written.