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AVP/VP, Risk Analytics Product Manager (Contract)

GIC · Singapore

Singapore · On-siteFull-TimePosted Jun 22, 2026

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Job description

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Location:

Singapore, SG

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Job Function: Risk & Performance Management Department

Job Type: Permanent

Req ID: 16973

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GIC is one of the world’s largest sovereign wealth funds. With over 2,000 employees across 11 locations around the world, we invest in more than 40 countries globally across asset classes and businesses. Working at GIC gives you exposure to an extraordinary network of the world’s industry leaders. As a leading global long-term investor, we Work at the Point of Impact for Singapore’s financial future, and the communities we invest in worldwide.

Risk and Performance Management Department (RPMD)

In Risk & Performance Management Department (RPMD), we work collaboratively across teams to identify and address potential blind spots, ensuring that all relevant risks are considered and duly addressed.

Enterprise Risk and Performance

The Enterprise Risk and Performance (ERP) team within RPMD is responsible for integrated total portfolio risk management across investment, liquidity, leverage, sustainability, and other transversal risks. The team delivers independent assessments of investment risks and performance drivers, provides constructive challenge on portfolio design, and capital allocation decisions and leads the strategic development of total portfolio risk analytics and model risk management capabilities.

What will you do as a Risk Analytics Product Manager?

This contract 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. The role sits within the ERP team and focuses on driving the strategic buildout of enterprise-level risk analytics, bringing industry best practices to enhance GIC’s analytical capabilities. This positions bridges business needs, quantitative methodologies and institutional-grade software solutions.

As a Product Manager, you will own the end-to-end lifecycle of a major risk analytics product or domain. Acting as the leader of your product suite, you will manage a multi-year roadmap and collaborate closely with cross-functional teams — including risk managers, quantitative analysts, and technologists— to deliver high-impact analytics that meet the evolving business needs. You will also have close interactions between vendors of risk systems to ensure their products and methodologies can fit GIC’s business in short- and long-term.

Key Responsibilities

1. Product Roadmap

Define and maintain the product roadmap for assigned risk analytics capabilities, ensuring alignment with firm-wide business priorities and long-term institutional requirements.

Translate business needs into clear product requirements, use cases, user stories, and acceptance criteria.

Partner with investment teams, risk managers, and quantitative stakeholders to identify new product features, enhancements, and opportunities for analytical improvement.

Prioritise product backlog items based on business value, risk impact, technical feasibility, and strategic alignment.

Define product success measures and track adoption, usability, and business impact after release.

2. Stakeholder Management & Advisory

Build trusted relationships across business, technology, quantitative, and data teams.

Understand the business context behind user requests and provide guidance on appropriate product design, methodology, and usage.

Facilitate alignment across sta

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