Position Overview
A leading sovereign wealth fund in Singapore seeks an AVP/VP of Investment Risk to identify and manage investment risks, assess risk-reward profiles, and communicate findings to key stakeholders. Candidates should possess a minimum of 5 years in an analytical role and a degree in a relevant quantitative field. The role involves collaborative work within the Risk and Performance Management Department to support GIC's investment strategies and goals, fostering a team-oriented work environment with a commitment to ongoing learning.
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