Vp, Risk Analytics Product Manager

GIC

Singapore, Singapore
On-site
5 years analytical software development experience
3 years product management experience
Master's or phd in quantitative discipline
This role offers the opportunity to shape GIC's next-generation portfolio analytics capabilities and contribute to the firm's long-term investment and risk management excellence

Job Summary

  • This role offers the opportunity to shape GIC's next-generation portfolio analytics capabilities and contribute to the firm's long-term investment and risk management excellence.
  • As a Product Manager, you will own the end-to-end lifecycle of a major risk analytics product, acting as the 'CEO' of your product suite to define strategic vision and manage multi-year roadmaps.
  • GIC is an equal opportunity employer that values diversity and provides flexibility for teams to work from home while maintaining four days of in-person collaboration per week.

Matching Summary

This role offers the opportunity to shape GIC's next-generation portfolio analytics capabilities and contribute to the firm's long-term investment and risk management excellence.

Skills & Requirements

Must-have

  • 5 years analytical software development experience
  • 3 years product management experience
  • Master's or PhD in quantitative discipline
  • Proficiency in Python and large-scale data pipelines
  • Deep understanding of risk methodologies

Nice-to-have

  • Exposure to risk or portfolio management
  • Experience with Monte Carlo simulations
  • Ability to influence senior stakeholders
  • Knowledge of factor-based models
  • Proactive and organized leadership style

Key Requirements

  • Graduate degree (Master's or PhD) in Finance, Mathematics, Physics, Statistics, or Engineering
  • Minimum 5 years developing analytical software within a financial institution
  • Minimum 3 years Product Management experience delivering complex financial systems

Work Rights

Not specified

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