Global Macro Commodities Portfolio Manager (Hybrid)

Growth Equity Interview Guide

Singapore

Hybrid

SGD 180,000 - 260,000

Full time

14 days+
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Benefits offered by this job

Hybrid work model
Global industry network

Job summary

GIC is seeking an experienced Portfolio Manager to join its Global Macro investment team, focusing on commodities. You’ll manage a diverse portfolio across energy, metals, and agriculture, using your macro insights to generate alpha and inform senior management.

The role offers a hybrid work model and collaboration with cross-functional teams, with opportunities to shape trading strategies and communicate performance and risk metrics to leadership.

Qualifications

  • 5–10 years of experience managing or trading commodity portfolios.
  • Knowledge across energy, metals, and agriculture.
  • Understanding of commodity fundamentals and macro drivers.
  • Experience with derivatives for hedging and expressing views.
  • Strong communication skills for senior management.
  • Fluency in English required.

Responsibilities

  • Trade and manage exposure to commodity benchmarks and indices.
  • Develop a macro framework for analyzing supply-demand balances.
  • Identify and implement trading opportunities across strategies.
  • Collaborate with teams to create actionable trade ideas.
  • Communicate portfolio performance and risk metrics to management.

Skills

Commodity portfolio management
Derivatives trading
Macroeconomics knowledge
Communication skills
English fluency

Job description

GIC is seeking an experienced Portfolio Manager to join its Global Macro investment team, focusing on commodities. You’ll manage a diverse portfolio across energy, metals, and agriculture, using your macro insights to generate alpha and inform senior management.

The role offers a hybrid work model and collaboration with cross-functional teams, with opportunities to shape trading strategies and communicate performance and risk metrics to leadership.

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