We are a leading Asian investment firm with almost USD3bn assets under management across venture capital and hedge funds. Our flagship hedge fund, FengHe Asia Fund has been recognized as one of the most consistent and best performing long-short equity funds in Asia. For details, please visit our website .
We are looking for a Portfolio and Risk Management Analyst to join our Singapore team and support our VC portfolio management as well as Group risk management. We offer a supportive and performance-driven team environment to excel and develop professionally.
Role and Responsibilities
VC Portfolio Management
Support the monitoring of VC portfolio companies, and perform updates of the valuation models
Analyse VC funds’ performance and cash management
Support the preparation of VC investor reports, communications and conferences
Liaise with fund administrator, bankers, auditors, legal advisors, tax advisors and corporate secretaries
Group Risk Management
Support senior management in maintaining and developing the risk management and control framework of the Group
Perform analysis to identify, assess and control risks across the various businesses of the Group
Actively monitor and review key risk areas and directly report to the CEO
Support the governance and oversight of the risk management committees and boards of directors
3 to 4 years of related experience in financial services and/or audit industry
Excellent numerical, accounting and analytical skills
Strong work ethic, with attention and accuracy to detail
Ability to multi-task, prioritize and organize time effectively in a fast-paced environment with self-motivation to the pursuit of excellence
Qualified applicants should submit their resume to .
Only shortlisted candidates will be notified. All data will be used for recruitment purposes only.