Opportunity Description
About the Role
Portfolio Manager, Derivatives – AIA Investment Management, Singapore. You will design, model, structure and advise on complex derivatives strategies and manage cross‑asset derivatives portfolios across AIA’s business units. The role focuses on LDI‑ALM, efficient portfolio management, index‑linked and protected investment products, collateral management and development of analytics tools.
Responsibilities- Design, model, structure and advise on derivatives‑based strategies and solutions for Group functions and AIA business units, primarily for complex LDI‑ALM and efficient portfolio management purposes.
- Design and manage new generations of index‑linked and protected investment products, accelerate product time‑to‑market and support product ideation.
- Manage cross‑asset derivatives portfolios outsourced by AIA Insurance Business Units to AIA IM, blending financial and derivatives market knowledge with disciplined risk‑managemen...
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