
AVP/VP, Fixed Income & Multi Asset, Portfolio Risk - Global Macro
- Singapore
- Permanent
- Full-time
- Support senior in-business Risk Managers in regular portfolio reviews for teams/strategies, stress testing and scenario analysis, combining risk assessment and monitoring across global macro products
- Partner with FIMA portfolio managers and other product teams on risk oversight and ongoing portfolio monitoring processes
- Under guidance of senior members of the team, develop independent assessment for select investments, and present recommendations to different fixed income committees.
- Help develop in-business risk management capabilities, liaise with key external partners to internalize industry best practices
- Support the wider team's work in driving portfolio construction, capital allocation, and development of Fixed Income investment strategies within broader GIC portfolio
- A minimum of 6 years of experience in investment or market risk, portfolio management, research, or underwriting with buy-side institutions, rating agencies or investment banking
- Passion in portfolio analysis, risk management, experienced working with investment teams and presenting to investment / risk committees
- Strong team mindset, collaborative team player who works well with colleagues and is highly motivated in delivering core areas of coverage as well as supporting the team's broader business
- Good communication skills and proactive engagement with key internal stakeholders and external partners