You will lead the risk managers in the Real Estate cluster and provide an independent and objective view of investment risk and performance drivers of GIC’s Real Estate equity and credit strategies
Job Summary
You will lead the risk managers in the Real Estate cluster and provide an independent and objective view of investment risk and performance drivers of GIC’s Real Estate equity and credit strategies.
GIC offers a flexible work arrangement with teams coming into the office four days per week and flexibility to choose work-from-home days as situational needs arise.
GIC is an equal opportunity employer that values diversity and provides reasonable accommodations for individuals with disabilities throughout the application and employment process.
Matching Summary
You will lead the risk managers in the Real Estate cluster and provide an independent and objective view of investment risk and performance drivers of GIC’s Real Estate equity and credit strategies.
Skills & Requirements
Must-have
Investment risk management
Real Estate asset class expertise
Portfolio risk and performance assessment
Risk governance and policy development
Deal evaluation and risk-reward assessment
Team leadership and mentoring
Quantitative and qualitative risk analytics
Nice-to-have
Strong market understanding
Persuasive communication skills
Ability to articulate technical topics
Good team player in fast-paced environment
Willingness to develop cross-functional skills
Experience collaborating with senior management
Key Requirements
Minimum 12 years front office or senior investment risk experience
Experience in Real Estate or Infrastructure asset class preferred
Demonstrated team management capability
Strong analytical background in portfolio construction, risk management or valuation
Ability to communicate with senior management and front office partners