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SENIOR PORTFOLIO MANAGER
BLAIR ROAD CAPITAL PTE. LTD. · SG
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Job description
We are seeking an exceptional Senior Portfolio Manager to take ownership of portfolio construction, position management, and risk-adjusted returns across our full investment universe. This is a high-autonomy, high-accountability role for an investor with deep cross-asset expertise, a genuine understanding of AI's impact on capital markets, and the conviction to act on data-driven insights.
KEY RESPONSIBILITIES
Portfolio Management& Investment Decision-Making
- Construct and manage a diversified global portfolio across listed equities, equity derivatives, currencies, cryptocurrencies, and related derivatives.
- Translate AI-generated signals and thematic research into executable investment theses with clearly defined risk and return parameters.
- Identify and size positions around AI-driven market dislocations — including industry displacement, valuation regime shifts, and structural supply/demand imbalances.
- Manage portfolio-level exposure across geographies, sectors, and asset classes without constraint, exercising active allocation decisions.
- Oversee derivatives overlays for hedging, yield enhancement, and leveraged directional expression.
Research & Alpha Generation
- Develop and refine investment frameworks for assessing dislocation opportunities at company, sector, and macro levels driven by AI adoption trends.
- Collaborate closely with quantitative researchers and data scientists to stress-test and interpret proprietary AI model outputs.
- Conduct independent fundamental analysis to complement and challenge systematic signals, maintaining a high bar for conviction.
- Stay ahead of AI developments — model capabilities, deployment cycles, regulatory shifts — and their second-order marketimplications.
Risk Management
- Own risk at the portfolio level: monitor VaR, factor exposures, liquidity, drawdown, and concentration on a daily basis.
- Implement and maintain disciplined position sizing and stop-loss frameworks.
- Engage proactively with the risk team to identify emerging tail risks and correlation breakdowns.
- Maintain portfolio integrity through volatile or dislocated market environments.
Collaboration &Leadership
- Work alongside the CIO to shape the fund's overall investment strategy and positioning.
- Provide mentorship and intellectual leadership to junior analysts and associate portfolio managers.
- Communicate clearly with senior stakeholders and investors on portfolio positioning, performance attribution, and outlook.
- Contribute to the ongoing development of the fund's proprietary AI tools, providing practitioner feedback to the technology and research teams.
REQUIREMENTS
Experience
- 25+years of investment management experience, with a minimum of 15+ years as a Portfolio Manager or Lead PM with direct P&L ownership.
- Proven track record of generating consistent risk-adjusted returns in a multi-asset or global macro / equity long-short context.
- Hands-on experience with equity derivatives (options, variance swaps, total return swaps) and currency instruments as both hedging and alpha-generation tools.
- Meaningful exposure to digital assets and ryptocurrency markets — either through direct portfolio management or structured research coverage.
- Experience operating within an unconstrained mandate with latitude for cross-asset allocation decisions.
Skills & Knowledge
- Deep understanding of how AI and technology adoption cycles affect corporate fundamentals, competitive dynamics, and macro capital flows.
- Ability to read, interpret, and critically evaluate quantitative and AI-generated investment signals — rather than relying on the mas black boxes.
- Strong grasp of portfolio construction theory: factor exposure management, correlation analysis, and tail-risk hedging.
- Proficiency with Bloomberg, risk management platforms(e.g. Axioma, Aladdin, or equivalent), and portfolio analytics tools.
- Familiarity with Python or R
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