AVP Quantitative Researcher – Fixed Income & FX
GIC · Singapour
Job description
About the role
GIC’s Portfolio Execution & Solutions Group is seeking an AVP Quantitative Researcher focused on fixed income and FX markets. Based in Singapore, you will join a multidisciplinary team that applies quantitative research to improve execution outcomes and deepen understanding of market microstructure.
Key responsibilities
- Deliver actionable analysis on counterparty selection, optimal execution, market impact modelling, volume prediction, regime identification and transaction cost analysis (TCA).
- Influence execution outcomes by developing innovative quantitative and systematic solutions in a collaborative environment.
- Own research projects from ideation through production, working with developers to implement models and achieve measurable results.
- Identify opportunities to enhance GIC’s execution approach and fixed‑income market microstructure understanding.
- Build strong knowledge of internal mandates and investment styles to foster cross‑business collaborations.
- Interact with portfolio managers to understand transaction‑cost drivers and provide modelling inputs.
Required profile
- 6–10 years of professional experience, including 2–5 years in a quantitative role such as analyst, researcher, trader or portfolio manager.
- PhD in a relevant quantitative discipline is acceptable even without prior industry experience.
- Genuine interest in global fixed‑income market microstructure and current events, with the ability to turn data into actionable insights.
- Familiarity with FX market structure is a plus.
Required skills
- Strong understanding of the fixed‑income data landscape (e.g., TRACE).
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Published 1 month ago
Expires 1 week from now
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GIC
Singapour
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