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Investment jobs in Singapore

AVP/VP, Fixed Income and Multi Asset, Macro Quant (FX and Rates) - Portfolio Manager

GIC Private Limited

Singapore
Hybrid
SGD 120,000 - 160,000
30+ days ago
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Compliance Manager

Michael Page Singapore

Singapore
On-site
SGD 60,000 - 80,000
30+ days ago

Finance Director

Michael Page Singapore

Singapore
On-site
SGD 40,000 - 50,000
30+ days ago

AVP/VP, Business Analyst, Technology Group

GIC Private Limited

Singapore
Hybrid
SGD 80,000 - 120,000
30+ days ago

Part-Time Brand Ambassador

moomoo

Singapore
On-site
SGD 60,000 - 80,000
30+ days ago
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Quantitative Strategist - External Managers (AVP/Assoc)

GIC Private Limited

Singapore
On-site
SGD 70,000 - 100,000
30+ days ago

Accountant

Michael Page Singapore

Singapore
On-site
SGD 60,000 - 80,000
30+ days ago

Senior Accountant — Global Finance & Reporting (Hybrid)

Michael Page Singapore

Singapore
On-site
SGD 60,000 - 80,000
30+ days ago
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AVP, Cloud Engineer, Technology Group

GIC Private Limited

Singapore
Hybrid
SGD 90,000 - 120,000
30+ days ago

AVP, Data Operations & Master Data Management

GIC Private Limited

Singapore
Hybrid
SGD 90,000 - 120,000
30+ days ago

Quantitative Researcher

WorldQuant

Singapore
On-site
SGD 60,000 - 80,000
30+ days ago

Wealth - Citigold, Summer Analyst, Singapore, 2026

Citigroup Inc.

Singapore
On-site
SGD 60,000 - 80,000
30+ days ago

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Associate Vice President/Vice President Portfolio Manager
GIC Private Limited
Singapore
Hybrid
SGD 120,000 - 160,000
Full time
30+ days ago

Job summary

A global investment firm in Singapore seeks a Portfolio Manager in Fixed Income and Multi Asset. Ideal candidates must have 6-15 years of experience in quantitative research and proven skills in implementing investment strategies. Strong technical proficiency in R or Python is essential. The role offers flexibility with a hybrid work model, allowing team members to collaborate in person four days a week.

Qualifications

  • 6-15 years of experience in quantitative research and portfolio management, preferably in a multi-asset role.
  • Experience in sourcing alternative and unique datasets is a plus.
  • Strong technical and coding skills, particularly in R or Python.

Responsibilities

  • Identify high-impact research and implement systematic models to enhance portfolios.
  • Manage existing multi-asset models and collaborate on optimal execution.
  • Monitor market conditions and contribute to macro dynamics discussions.

Skills

Quantitative research
Portfolio management
R or Python proficiency
Analytical skills
Communication skills

Education

Bachelor's degree in finance, economics, statistics, or related field
Post Graduate degrees (MS/PhD)
Job description

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AVP/VP, Fixed Income and Multi Asset, Macro Quant (FX and Rates) - Portfolio Manager

Location:

Singapore, SG

Job Function: Fixed Income & Multi Asset

Job Type: Permanent

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.

Fixed Income and Multi Asset

Our team employs a broad range of investment strategies that span macro, credit, and quantitative investing, including multi-asset, benchmark-agnostic, constrained, indexed, and thematic strategies.

The team manages systematic trading models and portfolio solutions, designed to generate alphas focusing on behavioral inefficiencies, differentiated data, and in less crowded markets; while improving the overall risk-adjusted returns and mitigating drawdowns for different portfolios in Fixed Income & Multi Asset.

What will you do as a Portfolio Manager;

  • Identify high-impact research and initiate, design, and implement systematic models and portfolio solutions to increase the convexity and robustness for different mandates across fixed income, currencies, and commodities.
  • Manage existing multi-asset models and strategies in futures and forwards, by collaborating closely with the Global Trading Unit on optimal execution and pre-/post-trade analysis.
  • Monitor market conditions and risk management of portfolios as necessary to stay ahead of changing trends and dynamics and contribute actively to the broader understanding and discussion of macro dynamics from a systematic lens.

What qualifications or skills should you possess in this role?

  • 6-15 years of experience in quantitative research and portfolio management, preferably in a multi-asset role with demonstrated ability to generate and execute ideas/trades that are profitable and scalable; Rates, FX and Commodities.
  • Experience in sourcing alternative and unique datasets is a plus.
  • Bachelor's degree in finance, economics, statistics, or other related quantitative field from a leading university. Post Graduate degrees (MS/PhD) would be viewed favorably.
  • Exceptional quantitative and analytical skills, with the ability to use data to research and backtest investment intuitions and hypotheses. Familiarity with portfolio construction methodologies and multi-asset risk models is a plus.
  • Strong technical and coding skills. Proficiency in R or Python is essential.
  • Strong communication skills, with the ability to influence and collaborate across teams.
  • Self-motivated with a keen eye for detail and a commitment to delivering high-quality work.

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

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 grphrodtaops@gic.com.sg 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 Fixed Income and Multi Asset Department here: https://gic.careers/group/fixed-income/

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* The salary benchmark is based on the target salaries of market leaders in their relevant sectors. It is intended to serve as a guide to help Premium Members assess open positions and to help in salary negotiations. The salary benchmark is not provided directly by the company, which could be significantly higher or lower.

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