VP, Portfolio Manager, External Managers - Macro
GIC
- Singapore
- Permanent
- Full-time
- Sourcing and performing due diligence on prospective external fund managers, including meeting managers and their teams, conducting reference checks, performing qualitative manager and strategy analysis, and performing quantitative track record analysis
- Monitoring existing investments, including having regular updates with managers, highlighting key matters to the Investment Committee, constantly re-evaluating original investment thesis and making timely recommendations
- Performing quantitative and qualitative analyses on portfolios and leading discussions on portfolio innovations including portfolio construction, trade structuring and risk management
- Performing strategy level analysis, including periodic research, portfolio risk analysis, and surfacing macro insights to the team and GIC at large
- More than 10 years of fund allocator experience in macro investing and/or macro capital markets experience
- Strong financial modelling and / or programming skills with excellent analytical ability, strong writing, and communication skills
- Be highly motivated, intellectually curious and adept at multi-tasking
- Independent thinker who is able articulate his/her views well, both in verbal and written form
- Strong team player who is comfortable in fostering new internal and external relationships