Temasek is a global investment company headquartered in Singapore, with a net portfolio value of S$389 billion (US$288b, €267b, £228b, RMB2. 08t) as at 31 March 2024. Marking our unlisted assets to market would provide S$31 billion of value uplift and bring our mark to market net portfolio value to S$420 billion. Our Purpose “So Every Generation Prospers” guides us to make a difference for today’s and future generations. Operating on commercial principles, we seek to deliver sustainable returns over the long term. We have 13 offices in 9 countries around the world:
Beijing, Hanoi, Mumbai, Shanghai, Shenzhen, and Singapore in Asia; and Brussels, London, Mexico City, New York, Paris, San Francisco, and Washington, DC outside Asia. For more information on Temasek, please visit www. temasek. com. sgFor Temasek Review 2024, please visit www. temasekreview. com. sgFor Sustainability Report 2024, please visit www. temasek. com. sg/SR2024ResponsibilitiesTaking part in identifying key sectoral developments and assessing investment opportunities across asset classes (commodities, equities, funds etc.
)Model commodity data for specific markets and produce ad hoc analysis based on short-term market developmentsBuilding fundamental commodity supply and demand models while staying on top of market research and insightsConducting research and financial analysis on assigned sub-sectors and relevant companiesFocus on developing financial models and presentations for internal evaluation and investment committeesAssist in structuring and consummating new direct investments as well as pursuing divestments where appropriateMonitoring existing portfolio companies and new direct investments (where applicable) against investment thesisEstablishing and cultivating relationships (including travel) with companies, research analysts and other relevant institutionsAssisting with team’s regular portfolio reporting and periodic firm-wide strategic initiatives.
RequirementsExcellent academic qualifications in any discipline and passion for investingMin. 2 years of progressive working experience in financial markets, with focus on commodity/equity marketsCommodity investing, macro hedge fund, equity investing or research experience would be favourably looked atPreferred but not essential: experiences in or familiarity with one of the following sectors:
metal & mining, materials & resources, commoditiesGood understanding of financial markets and their short, medium and long-term driversExcellent analytical and quantitative skills, with strong financial modelling skill and ability to perform fundamental research on the commodity spaceHigh level of interpersonal, presentation and written communication skillsAbility to work well within diverse teams and collaborate across multiple stakeholdersTeam player and self-starter with proven ability to manage multiple priorities and to work independentlyFamiliar with use of appropriate electronic data sources (e. g. Bloomberg, Factiva, Capital IQ, etc) for business and industry information research and productivity tools (e. g. Microsoft Office, Tableau, etc)
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