
Fund Servicing Manager - Performance and Risk Analytics
- Metro Manila
- Permanent
- Full-time
- Conduct preliminary performance analyses of investment portfolios including basic attribution analysis, exposures, and rates of return against objectives.
- Assist in the onboarding of new clients and participate in service reviews, due diligence meetings, etc.
- Maintain accurate and timely reporting for clients, ensuring data integrity and resolving basic workflow exceptions.
- Conduct comprehensive performance analyses of investment portfolios including attribution analysis, exposures and rates of return against objectives.
- Analyze and interpret workflow exceptions. Guide third parties on remediation efforts and take ownership on plan execution. Present findings in straightforward, audience-appropriate communications.
- Lead inquiry response efforts with external stakeholders including portfolio managers, back-office operations, and vendors. Establish clear priorities and articulate dependencies as well as delivery/resolution timetables.
- Manage and oversee the Investment Analytics team
- Maintain a positive, uplifting work environment where all are encouraged to contribute. Adopt a growth mindset where all feel comfortable taking risks to learn. Persist through setbacks to achieve results.
- 10+ years experience in performance analysis, risk analytics, or investment analytics within the financial services industry.
- Knowledge of Fund Accounting, Financial Reporting
- Demonstrate expertise in the investment lifecycle. This includes industry best practices, regulatory requirements, the competitive landscape and emerging trends in performance and risk analytics across client segments.
- Strong analytical skills and attention to detail.
- Bachelor's degree in Finance, Mathematics, Statistics or related field. Interest and/or pursuit of Master's degree or relevant professional designations (such as CFA, CIPM, CAIA, FRM) preferred
- Shift Schedule: will follow either ANZ or EMEA shift