About this role
A leading global investment firm in Singapore is looking for a Rates & FX Volatility Portfolio Manager to manage global rates and FX volatility strategies. The ideal candidate will have 7–12 years of experience in macro trading or portfolio management, with a strong understanding of monetary policies and derivatives. Candidates will work in a dynamic environment with flexible work arrangements, focusing on innovative investment strategies and collaboration with experts in the field. J-18808-Ljb…
Frequently asked questions
What does a Hybrid Rates & FX Volatility Portfolio Manager at GIC Private Limited do?
A leading global investment firm in Singapore is looking for a Rates & FX Volatility Portfolio Manager to manage global rates and FX volatility strategies. The ideal candidate will have 7–12 years of experience in macro trading or portfolio management, with a strong understanding of monetary policie…
How much does a Hybrid Rates & FX Volatility Portfolio Manager at GIC Private Limited pay?
The employer did not list a salary for this role. Most similar Singapore roles publish their band on the job page.
Is this Hybrid Rates & FX Volatility Portfolio Manager role remote, hybrid, or on-site?
The listing is based in Singapore. Check the posting for remote or hybrid options.
How do I apply for this Hybrid Rates & FX Volatility Portfolio Manager role?
You can apply directly on GIC Private Limited's careers page. ApplyLah can tailor your résumé and cover letter to this exact role in seconds first.