Job Openings Portfolio Manager, ETF, Multi Asset, KIP

About the job Portfolio Manager, ETF, Multi Asset, KIP

King Deux Search & Consulting is a specialised executive search firm which offers bespoke talent solutions across financial services and commerce. We are committed to not only finding the right opportunity for our candidates but also leaving a legacy that lives on beyond the hiring process.

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About Your Company

King Deux is partnering with an industry pioneer asset manager in growing it’s presence in Asia. We are seeking an experienced and forward-thinking Portfolio Manager to lead and scale our multi-asset, multi-strategy platform across public ETFs and private funds. This role is built for an innovative investor with a track record in traditional markets and a strong drive to explore digital assets as an emerging asset class. You will take full ownership of fund management, strategy incubation, and investment operations while serving as a key regulatory pillar for our ETF platform.


Key Responsibilities

  • Lead discretionary portfolio management and strategy execution for both ETF products and private funds.

  • Design, backtest, and deploy quantitative and fundamental multi-asset, multi-strategy mandates.

  • Drive research and product development around digital assets (e.g., crypto, tokenized assets, hybrid alternative strategies) for potential integration into existing or new fund structures.

  • Serve as the designated Responsible Officer (RO) / Key Investment Personnel (KIP) for public ETF funds, ensuring regulatory compliance and operational integrity.

  • Work closely with liquidity providers, market makers, custodians, and distributors to support fund growth and creation/redemption mechanisms.

  • Continuously incubate, test, and scale new trading concepts in an agile, entrepreneurial setup.

What you will need to succeed

  • Mandatory: Qualified or eligible to serve as an SFC Responsible Officer (RO Type 9) and meet Key Investment Personnel (KIP) requirements for authorized ETF funds.

  • Experience: Minimum 8+ years of portfolio management experience with a focus on multi-asset and multi-strategy coverage.

  • Product Knowledge: Solid grasp of ETF mechanics, market making, and private fund (LP/GP) structuring.

  • Digital Asset Focus: Genuine interest and strong foundational understanding of digital assets, Web3, and market dynamics across centralized and decentralized finance.

  • Mindset: Highly entrepreneurial, self-driven, and excited by zero-to-one strategy creation and product launches.

  • Skills: Strong quantitative and risk management capabilities; proficiency in modern portfolio construction tools and data analytics.

What We Offer

  • Complete autonomy to design, launch, and manage new investment strategies.

  • Competitive compensation structure with significant performance-based upside.

  • Dynamic workplace culture that encourages experimentation and bold ideas.



How to Apply


Interested parties, please send your CV directly to y@kingdeux.com or apply directly.

Please note that only shortlisted applicants will be contacted.