VP, Portfolio Manager, Corporate Credit (Loans), Fixed Income & Multi Asset jobs in United States
cer-icon
Apply on Employer Site
company-logo

GIC · 9 hours ago

VP, Portfolio Manager, Corporate Credit (Loans), Fixed Income & Multi Asset

GIC is one of the world’s largest sovereign wealth funds, investing across asset classes globally. They are seeking a highly motivated and experienced Corporate Credit Portfolio Manager to manage a diversified portfolio across loans and CLOs, focusing on delivering portfolio value and downside protection.

Financial ServicesImpact InvestingReal Estate Investment
check
Comp. & Benefits

Responsibilities

Work directly with the lead Loans Portfolio manager to actively manage a diversified portfolio across loans and CLOs to deliver portfolio value-add vs benchmark, with a keen focus on downside protection
Collaborate closely with the credit research analysts on investment recommendations for new and existing positions
Maintain strong relationships with sell-side institutions, CLO managers, and syndication desks to ensure robust deal flow and timely market insights
Coordinate with teams within and outside of the department (front to back office) to execute on strategies and maximize investment opportunities
Be willing to contribute to team initiatives and play an active role in process improvement and team development
Actively engage in strategic communication and stakeholder engagement such as portfolio reviews, strategy updates, and asset allocation discussions in order to align portfolio and strategies with the broader department objectives

Qualification

Corporate Credit Portfolio ManagementLeveraged Loan KnowledgeCLO Market ExpertiseBottom-up InvestingTop-down Portfolio ConstructionStakeholder Relationship ManagementCFA CertificationThought LeadershipProcess ImprovementTeam Collaboration

Required

Strong “team first” and “not letting others fail” mindset
Willingness to work in a global team and positively contribute to a collegial, high-performance team culture
Skilled in bottom-up investing as well as top-down portfolio construction
Deep knowledge of leveraged loan issuers and an ability to connect macro and micro market developments
Demonstrated thought leadership on credit investing
Proven ability to cultivate productive relationships with internal and external stakeholders
Minimum 5 years' experience managing loans and CLO portfolios, with a strong track record

Preferred

CFA and CPA a plus
Buyside experience preferred

Benefits

Bonuses, which may form a meaningful proportion of the total pay package, are determined based on company and individual performance.

Company

GIC is an investment firm that manages singapore's foreign reserves.

Funding

Current Stage
Late Stage

Leadership Team

leader-logo
Chow Kiat Lim
Chief Executive Officer
linkedin
leader-logo
Carsten Bleckwehl
Senior Vice President, Private Equity (Direct Investments)
linkedin
Company data provided by crunchbase