VP/SVP, Risk Manager, Portfolio Execution & Solutions Group

GIC

Singapore

On-site

SGD 300,000 - 550,000

Full time

35 hours ago
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Benefits offered by this job

Flexibility to work from home
Four days in-office

Job summary

GIC is seeking a VP/SVP to lead in-business risk coverage across Execution, Treasury, Securities Financing, Beta Management and Portfolio Solutions. The role requires governance and independent risk oversight to support PESG leadership and cross-functional partners.

You will shape risk frameworks, produce analytics dashboards, and present to senior stakeholders, with exposure to AI-assisted analytics and industry-standard platforms.

Qualifications

  • Extensive experience in buy-/sell-side or asset-management risk roles.
  • Proven ability to build risk frameworks and governance structures.
  • Strong data analysis skills and proficiency with Python/SQL.

Responsibilities

  • Design and operate risk frameworks across PESG pillars.
  • Develop liquidity stress tests and leverage monitoring.
  • Provide regular risk updates to PESG leadership and RPMD.
  • Create independent risk memos testing deal theses.

Skills

Risk governance
Independent risk analytics
Stakeholder communication
Python
SQL
Data visualization

Tools

Aladdin
Charles River
Bloomberg

Job description

GIC is one of the world’s largest sovereign wealth funds. With over 2,000 employees across 11 offices 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.

Portfolio Execution & Solutions Group

We have teams in Singapore, London and New York, and we provide a full spectrum of services for the Total Portfolio. These include trading and structured advisory, funding and liquidity management, securities lending, beta management, portfolio rebalancing, applied quantitative research, and counterparty relationship management. We also deliver systematic portfolio solutions and innovation, such as portfolio construction techniques and tail-risk management, to strengthen total portfolio construction and resilience.

Business Solutions & Risk (BSR)

BSR is PESG's integrated capability for decision support and portfolio resilience across the group. It combines two complementary mandates. Business solutions provides the data, analytics, and tooling that turn PESG's activities into usable information for portfolio managers, traders and leadership. Business risk — risk oversight embedded within the business rather than in a central function — works alongside PESG's investment and trading teams to identify, test and manage portfolio, liquidity, funding, counterparty and model risks before they become issues. Working in close partnership with GIC's second-line risk function, the Risk, Performance & Management Department (RPMD), the team brings established risk practice into the business while enabling PESG to operate with the transparency and analytical rigor required of a systematic, data-driven Total Portfolio implementation platform.

We are looking for a risk professional to join the Business Solutions & Risk team within the PESG Chief Operating Officer (COO) office. This is a first-line, in-business risk role embedded within PESG rather than a position in GIC's central second-line risk function. You will help establish a newly created risk oversight function spanning Trading, Treasury, Securities Financing, Beta Management, and Portfolio Solutions, providing risk analysis and advice to PESG business heads and senior leadership that is independent of the desks it covers, and helping formalize PESG's risk governance framework as it continues to mature.

What will you do as a VP/SVP within Business Solutions & Risk?
Build out the function
  • Shape and build the in-business risk coverage framework across PESG's three business pillars: Execution (operational risk); Treasury, Securities Financing and Beta Management (operational, liquidity and leverage risk); and Portfolio Solutions (investment risk).
  • Support the formalization of PESG's risk governance structure, including proposed committees for Treasury & Liquidity, Trading & Execution Risk, Rebalancing Oversight, and Alternative Investments deal approvals.
Partner with the business
  • Partner closely with various strategy teams to deliver independent risk analytics and oversight that inform day-to-day decision making.
  • Conduct regular detailed reviews of exposures, concentrations, scenarios, and performance attribution.
  • Assess the complexity of portfolio solutions proposals, including structuring assumptions and how risk is transferred to counterparties or other portfolios, and produce independent risk memos that test the deal team's thesis ahead of approval.
Design and operate risk frameworks
  • Design operational risk monitoring for trade execution and lifecycle processes, including control gaps, and errors in trade booking and reconciliation.
  • Develop liquidity stress testing and leverage/exposure monitoring frameworks for Treasury and Securities Financing activities, and work with stakeholders to establish a formal limits framework where none currently exists.
Reporting and analytics
  • Provide regular risk updates and escalation to PESG Business Heads and the PESG Director and maintain the central liaison relationship with RPMD on frameworks, analytics, and firm-wide risk standards.
  • Collaborate with Quant Investment Research to develop tailored risk tools and dashboards, including AI-assisted analytics, applying industry practice to enhance PESG's analytical infrastructure.
What qualifications or skills should you possess in this role?
  • Substantial experience (typically 10+ years, or equivalent depth) in a relevant buy‑side, sell‑side, or asset‑management context, including time in one or more of: portfolio management, trading, treasury, securities financing, rebalancing/execution, or (in‑business) risk aligned to these functions.
  • Working knowledge of at least one of: trade execution and operational risk; treasury/liquidity and leverage risk management; or structured portfolio solutions.
  • Cross‑asset exposure (equities, fixed income, FX, derivatives); deep specialization in one asset class complemented by broader knowledge across others is equally welcome.
  • Familiarity with industry risk and analytics platforms (e.g., Aladdin, Charles River, Bloomberg).
  • Experience working within risk governance frameworks (committees, limits, escalation protocols), including in less mature or evolving risk environments.
  • Skilled in analyzing large and complex data sets using relevant programming tools (e.g., Python, SQL), and the ability to build models, reports, and dashboards that support real-time decision making.
  • Experience working alongside trading, treasury, or portfolio construction teams, including presenting to senior stakeholders and committees.
  • A collaborative approach to working across teams, with the ability to explain risk findings clearly to both technical and non‑technical audiences, and to engage proactively with key internal stakeholders (including RPMD) and external partners as required.
  • Demonstrable integrity and sound judgment, including the willingness to raise and elevate difficult findings and hold an independent position under pressure from senior stakeholders, given the independence this role requires.
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 guides 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

As an employer, we passionately believe every individual brings with them unique diversity of thought and perspectives to meaningfully enrich perspectives of GIC teams to drive competitive performance. An inclusive environment yields exceptional contribution.

Learn more about our Portfolio Execution and Solutions Group Department here:

https://gic.careers/departments/portfolio-execution-solutions-group/

Our PRIME Values

GIC is a values driven organization. GIC’s PRIME Values act as our compass, enabling us to fulfil our fundamental purpose and objectives. It is the foundational bedrock which governs our behaviors, our decision making, and our focus. It informs both our long-term strategy as a firm, and the way we relate to our Client, business partners and employees. PRIME stands for Prudence, Respect, Integrity, Merit and Excellence.

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