

VP, Fixed Income and Multi Asset Macro Quant Portfolio Manager
GIC
Singapore
2 months ago
Salary
-- Experience
6-15 years Type
Full-Time Strategy
Credit, Other Team
Investing Firm AUM
-- GIC is looking for a Portfolio Manager to join their Fixed Income and Multi Asset team. In this role, you’ll design and implement systematic models to enhance portfolio performance. You’ll collaborate with trading teams and monitor market conditions to manage risks effectively. This position offers a unique opportunity to work with a leading global investor and make a significant impact.
What You’ll Do
- Design and implement systematic models for fixed income, currencies, and commodities.
- Manage existing multi-asset models and collaborate on execution strategies.
- Monitor market conditions and manage portfolio risks.
- Contribute to discussions on macro dynamics from a systematic perspective.
What You Need
- 6-15 years of experience in quantitative research and portfolio management.
- Experience in multi-asset roles, especially in Rates, FX, and Commodities.
- Strong analytical skills with a knack for using data effectively.
- Proficiency in R or Python is essential.
- A degree in finance, economics, statistics, or a related field; advanced degrees are a plus.
- Ability to communicate and collaborate well with teams.
What You’ll Love
- Work in a vibrant office that encourages collaboration and innovation.
- Enjoy flexibility in your work schedule, balancing office and remote work.
- Be part of a diverse team that values your input and ideas.
- Engage in meaningful work that impacts Singapore’s financial future.
About the Firm
- GIC is one of the world’s largest sovereign wealth funds.
- They invest globally across various asset classes and businesses.
- The firm has a strong commitment to diversity and inclusion.
- GIC values its employees and promotes professional growth.
