

Salary
-- Experience
3-8 years Type
Full-Time Strategy
Credit Team
Risk Firm AUM
-- The AVP, Investment Risk (Credit) role at GIC involves assessing and managing the risks associated with credit investment strategies. You’ll work closely with senior management to provide insights on portfolio performance and risk metrics. This position offers a chance to engage with a dynamic team and contribute to impactful investment decisions.
What You’ll Do
- Assess risk and performance drivers of credit strategies for senior management.
- Develop portfolio analytics using various performance and risk metrics.
- Engage with investment teams on risk issues and strategy activities.
- Evaluate new investment products for risk assessment.
- Review and implement risk governance frameworks and policies.
- Provide independent assessments of large deals to support decision-making.
What You Need
- 3-8 years of experience in an analytical or investment-related role.
- BSc or MSc in Economics, Finance, Financial Engineering, or a related field.
- Strong analytical skills and a knack for problem-solving.
- Interest in financial markets and investments.
- Good communication skills to share ideas and market views.
- A team player who thrives in a fast-paced environment.
- Willingness to learn and grow your skills.
What You’ll Love
- Work in a vibrant office that encourages collaboration and growth.
- Enjoy flexibility with a hybrid work model.
- Be part of a diverse and ambitious team.
- Contribute to impactful investment strategies for a better future.
About the Firm
- GIC is one of the world’s largest sovereign wealth funds.
- They invest globally across various asset classes and businesses.
- With over 2,000 employees, they have a strong international presence.
- GIC values diversity and is committed to equal opportunity.
