Current jobs related to VP, Total Portfolio Risk Manager - Singapur - GIC Private Limited

  • VP Tech Risk

    3 weeks ago


    Singapur, Singapore DBS Full time

    A leading financial institution in Singapore seeks a VP, Technology Risk Manager to oversee a global portfolio of technology risk management activities. You will manage risk assessments, collaborate with teams to ensure compliance with regulatory requirements, and provide actionable recommendations to senior management. Candidates should have at least 8...


  • Singapur, Singapore BEATHCHAPMAN (PTE. LTD.) Full time

    A financial services firm in Singapore is looking for a Vice President, Credit Risk to support the growth of its corporate loan portfolio. The successful candidate will lead credit risk assessments, manage a portfolio, and engage with senior stakeholders while ensuring compliance with regulatory standards. Applicants should have at least 10 years of...


  • Singapur, Singapore Charterhouse Partnership | Asia Full time

    A reputable and established international bank is urgently looking for a VP - Credit Department (LBO) in their Singapore office. No WORK VISA SPONSORSHIP IS PROVIDED! Additional headcount Analytical, smart, financial modelling, cash flow analysis skills Main Responsibilities Evaluate and assess new loan applications submitted by front office business teams...


  • Singapur, Singapore GIC Full time

    A global investment management firm in Singapore is seeking an AVP/VP for Operational Risk Management. The successful candidate will manage the corporate operational risk management program, develop analytics for risk assessment, and collaborate with teams to enhance control environments. Candidates should have a degree in Finance or related fields, with...


  • Singapur, Singapore SMBC AVIATION CAPITAL SINGAPORE PTE. LTD. Full time

    Roles & Responsibilities Team & Role Overview The Portfolio Risk Management Team forms an integral part of both the delivery of our commercial strategy and the holistic management of our customer bases. Reporting to the EVP Portfolio Risk Management and located in Singapore or Hong Kong, the position of AVP Portfolio Risk Management is a key member of the...


  • Singapur, Singapore SMBC Aviation Capital Full time

    A leading aviation finance firm seeks an AVP Portfolio Risk Management to manage portfolio risks, utilizing data analysis and collaboration with deal teams. Responsibilities include monitoring creditworthiness of customers in the Asia Pacific region, while ensuring comprehensive risk assessments and timely reporting. Candidates should have a degree in an...

  • Portfolio Manager

    3 weeks ago


    Singapur, Singapore Longbridge Singapore Full time

    Longbridge is a leading, next-generation internet brokerage and fintech company established in Singapore in 2019. We provide a one-stop, multi-asset global investment platform that offers access to SG, HK, and US markets, known for innovative features like lifetime zero-commission trading on select products. We are seeking a seasoned Portfolio Manager with...

  • Portfolio Manager

    3 weeks ago


    Singapur, Singapore SMTP CONSULT PTE. LTD. Full time

    About Our Client: Our client, a Single Family Office, is seeking a Portfolio Manager to oversee and manage investments exceeding $100 million . The role covers a diverse range of investments, including mutual funds, bonds, public equities, and more. The ideal candidate will have a strong background in fund management, equity, and/or bond analysis, with...


  • Singapur, Singapore SMBC Aviation Capital Full time

    A leading aviation finance firm in Singapore is seeking an AVP Portfolio Risk Management to manage portfolio risks through data analysis and collaboration with deal teams. The role involves monitoring customers' creditworthiness in the Asia Pacific region and ensuring timely risk assessments. Candidates must have a degree in an analytical field and at least...

  • Portfolio Managers

    3 weeks ago


    Singapur, Singapore Mercor Full time

    Mercor is hiring Portfolio Managers on behalf of a leading AI Lab developing models that simulate and optimize real-world investment decision-making. This is a rare opportunity for experienced finance professionals to apply their portfolio management expertise to help train and refine AI systems designed to think and act like world-class investors....

VP, Total Portfolio Risk Manager

1 hour ago


Singapur, Singapore GIC Private Limited Full time

VP, Total Portfolio Risk Manager (Liquidity & Leverage Oversight) Location: Singapore, SG Job Function: Risk & Performance Management Department Job Type: Permanent GIC is one of the world’s largest sovereign wealth funds. With over 2,000 employees across 11 locations around the world, we invest in more than 40 countries globally across asset classes and businesses. Working at GIC gives you exposure to an extraordinary network of the world’s industry leaders. As a leading global long‑term investor, we work at the point of impact for Singapore’s financial future, and the communities we invest in worldwide. Risk and Performance Management Department We work collaboratively across teams to help guard against blind spots and ensure that all relevant risks are considered and duly addressed. You will provide an independent and objective view of investment risk and performance drivers of the GIC Portfolio. What impact can you make in this role? You will be part of a team that is responsible for the independent assessment, measurement, monitoring, and reporting of GIC’s market, credit, and operational risk profiles. What will you do as a Total Portfolio Risk Manager (Liquidity & Leverage Oversight)? As a Total Portfolio Risk Manager, you will be responsible for enhancing the risk management framework and strengthening risk governance policies. Specific areas of focus include liquidity and leverage oversight across policies, frameworks, and risk management coverage of balance sheet management, securities lending, and trading activities. Design and conduct the stress test for total portfolio's liquidity requirements, risk oversight of the treasury function and explore research‑centric risk analytics for the business under coverage. Review and develop leverage policy and guidelines, including the computation, analysis, and calibration of implicit and gross leverage measurements. Review and analyse asset definitions to better represent the total portfolio exposure. Conduct scenario analysis and stress tests for select portfolios to assess systematic risk drivers and risk concentrations, both on a standalone basis and in relation to the total portfolio. Prepare management updates and propose contingent plans for geopolitical conflicts and scenarios regarding potential market disruptions. Develop, review, and maintain various risk management policies to ensure appropriateness and robustness. What qualifications or skills should you possess in this role? Graduate Degree in an analytical, financial and/or technical field such as Economics, Finance, Applied Math, Statistics, Engineering, etc is preferred. At least 7 years of relevant experience in a quantitative or analytical role. Buy‑side exposure will be an advantage. Proficiency in a statistical computing environment such as R or Python is helpful. Strong communication and presentation skills (written and verbal). Exhibit the ability to explain analytical or quantitative concepts in simple, practical and high‑impact manner. Proactive individual, with high level of self‑motivation, highly organized, and able to adhere to tight deadlines. Critical to have the ability to sell important ideas and influence outcomes. Keen attention to detail, strong work ethic, and effective team player in a fast‑paced environment. Strong ethical compass, demonstrable integrity and a commitment to doing the right thing. Work at the Point of Impact We need to be forward‑looking to attract the right people to help us become the Leading Global Long‑term Investor. Join our ambitious, agile, and diverse teams – be empowered to push boundaries and pursue innovative ideas, share your views, and be heard. Be anchored on our PRIME Values: Prudence, Respect, Integrity, Merit and Excellence, which guide us in how we make our day‑to‑day decisions. We strive to inspire. To make an impact. Flexibility at GIC At GIC, our offices are vibrant hubs for ideation, professional growth, and interpersonal connection. At the same time, we believe that flexibility allows us to do our best work and be our best selves. Thus, our teams come into the office four days per week to harness the benefits of in‑person collaboration, but have the flexibility to choose which days they work from home and adjust this arrangement as situational needs arise. GIC is an equal opportunity employer GIC is an equal opportunity employer, and we value diversity. We do not discriminate based on race, religion, color, national origin, sex, gender, gender expression, sexual orientation, age, marital status, veteran status, or disability status. We will ensure that individuals with disabilities are provided reasonable accommodation to participate in the job application or interview process, to perform essential job functions, and to receive other benefits and privileges of employment. Please email at any point of the application or interview process if adjustments need to be made due to a disability. Learn More Learn more about our Risk & Performance Management Department here: #J-18808-Ljbffr