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William Ng is Head of Investment Risk Management in the Risk and Performance Management Department at GIC. In this role, William has oversight of a broad range of risk divisions including Investment Risk and Performance, Credit Risk Management, Analysis and Reporting, and Risk Infrastructure.
William joined GIC in 2015 after 12 years in UBS and 6 years in Standard Chartered, where he held various senior positions in structured derivative trading and quantitative risk management. Prior to that, he was with the Singapore Government Administrative Service.
William holds a Master and Bachelor of Science in Mathematical Economics from the London School of Economics.