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Portfolio Manager, Rates & FX Volatility

GIC

Singapore
4 weeks ago
Salary
--
Experience
7-12 years
Type
Full-Time
Strategy
Other
Team
Investing
Firm AUM
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GIC is looking for an experienced Portfolio Manager to join their Global Macro investment team. In this role, you’ll manage a portfolio focused on interest rate and FX volatility strategies. You’ll leverage your macroeconomic knowledge to identify trading opportunities and maintain a disciplined risk management approach. This position offers a chance to work with a diverse team and make a meaningful impact on investment strategies.

What You’ll Do

  • Manage a portfolio focused on global rates and FX volatility strategies.
  • Identify macro and micro-driven trading opportunities.
  • Maintain risk discipline and adhere to internal limits.
  • Conduct macroeconomic analysis to inform trading decisions.
  • Collaborate with strategists to develop actionable trade ideas.

What You Need

  • 7-12 years of experience in macro trading or portfolio management.
  • Strong understanding of global macroeconomics and monetary policy.
  • Proven track record in generating returns in volatility strategies.
  • Familiarity with derivatives and market microstructure.
  • Excellent communication skills.

What You’ll Love

  • Work in a dynamic and diverse team environment.
  • Opportunity to make a significant impact on financial strategies.
  • Flexible work arrangements to support work-life balance.
  • Access to a global network of industry leaders.

About the Firm

  • GIC is one of the world’s largest sovereign wealth funds.
  • They invest across more than 40 countries and various asset classes.
  • The firm emphasizes long-term investment strategies.
  • GIC values diversity and is committed to equal opportunity.
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