VP/SVP, Global Macro Portfolio Manager
- Employer
- GIC Private Limited
- Location
- Singapore, Singapore
- Salary
- Competitive
- Closing date
- Jun 8, 2022
View more
- Job Function
- Portfolio Management: Fixed Income
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
You need to sign in or create an account to save a job.
Fixed Income (FI)
The Fixed Income department is responsible for managing the fixed income assets of the GIC portfolio. Its universe is global and spans multiple sectors, including G10 interest rates, currencies, credit, emerging markets, collateralised bonds, convertible bonds, index-level equities and commodities. FI is currently structured into 4 components:
We are looking for a suitable candidate to join our Global Macro Division as a Vice President/Senior Vice President, Portfolio Manager. The Global Macro team manages and takes risk in global interest rate (DM/EM), currency, top-down credit, equity, as well as commodity and volatility. This position can be based in the Singapore office or London office.
Responsibilities
Requirements
The Fixed Income department is responsible for managing the fixed income assets of the GIC portfolio. Its universe is global and spans multiple sectors, including G10 interest rates, currencies, credit, emerging markets, collateralised bonds, convertible bonds, index-level equities and commodities. FI is currently structured into 4 components:
- Portfolio Management (Macro, Credit, Convertible Bond and Structured Products)
- Research and Strategy (Macro and Credit)
- Systematic Investment Group
- Portfolio Solutions Group
We are looking for a suitable candidate to join our Global Macro Division as a Vice President/Senior Vice President, Portfolio Manager. The Global Macro team manages and takes risk in global interest rate (DM/EM), currency, top-down credit, equity, as well as commodity and volatility. This position can be based in the Singapore office or London office.
Responsibilities
- Portfolio management, with specialization of commodity, in a multi-asset absolute return context.
- Lead the development and execution of trading strategy across commodity sectors in the context of a multi asset portfolio.
- Develop and enhance commodity analytical process.
- Generate and evaluate investment ideas jointly and collaboratively with the Macro Portfolio Management and Research teams.
Requirements
- At least 5 years' experience and track record in commodity trading/investment, experience in other multi asset investments would be favourably considered.
- A good understanding of global macro themes, issues, and thought leadership in multi-asset investing.
- Ability to link the dots, and to express views with a strong and robust fundamentally driven investment process.
- Self-driven and motivated, with strong communication skills.
- Strong team-player and ability to work with different people.
You need to sign in or create an account to save a job.
Sign in to create job alerts
Sign in or create an account to start creating job alerts and receive personalised job recommendations straight to your inbox.
Create alert