Credit Analyst Credit Analyst …

AIA Singapore Private Limited
in Singapore
Permanent, Full time
Last application, 17 Jan 21
AIA Singapore Private Limited
in Singapore
Permanent, Full time
Last application, 17 Jan 21
Credit Analyst
Bring your career aspirations to life with AIA!
As part of the Centre of Excellence for Fixed Income-Global Developed Markets team, support oversight and management of AIA's externally managed portfolios

Job Description
Portfolio Monitoring & Management
  • Daily screening for alerts of emerging sector and/or specific issuer risks
  • Monitoring and analysis of risk attributes at portfolio level and on aggregated basis
  • Regular dialogue with all External Fund Managers ('EFMs') and deep dive into credits which have been flagged out during the portfolio monitoring process
  • Consolidation of all EFMs' views and strategies on identified credit and market developments
  • Evaluation of different strategies and alignment of any appropriate course of action across all EFMs
  • Evaluation of the portfolio actions to ensure portfolio risk is consistent with key themes, and to review against client guidelines and constraints
  • Prompt communication to all EFMs (US Corporate Credits) on any identified portfolio actions
  • Active participation in the monthly and quarterly portfolio reviews with EFMs
  • Close monitoring on the execution by the EFMs (US Corporate Credits)
  • Review of portfolio trades against desired risk positions as well as against mandates, guidelines and constraints
  • Ensure overall credit and sector positioning are consistent with current views and strategy

Client Management Support
  • Regular dialogue and review with client (including preparation of monthly and quarterly review materials)
  • Ensure clients' instructions on subscriptions and redemptions are followed through

Team Support
  • Exploit efficiencies of technology as they become available
  • Enhance and develop portfolio monitoring & reporting systems, processes, tools

Job Requirements
The ideal candidate must have advanced knowledge of Bloomberg, Microsoft Excel, PowerPoint, and Word. Knowledge and ability to use Python and other Programming tools would be an advantage but not essential. He/she should be exceptionally meticulous and recognize the importance of fact-checking and doing reality checks.

The candidate must also be a highly pro-active, conscientious, responsible and disciplined team player who can complete all assigned tasks impeccably within tight deadlines. He/she should also be mature enough to work independently and propose effective solutions to address potential challenges.

Strong inter-personal skills with the ability to coordinate and collaborate with colleagues from different countries, cultures and level of work experience are essential.

5-7 years of work experience, primarily in large multi-national financial firms. Prior work experience in asset management, sell-side / buy-side credit research, and/or credit rating agencies would be ideal. Experience covering US IG credits is a plus but not a requirement.

Consistently strong academic track record from a reputable university plus good grasp of the current economic, geopolitical and credit market conditions

Build a career with us as we help our customers and the community live healthier, longer, better lives.

You must provide all requested information, including Personal Data, to be considered for this career opportunity. Failure to provide such information may influence the processing and outcome of your application. You are responsible for ensuring that the information you submit is accurate and up-to-date.
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