Job Description
Requirements:
•Bachelor’s degree in Mathematics, Statistics, Finance, Actuarial Science, Financial Engineering, Investment Management, Risk Management, Econometrics or a similar field, with majors in Mathematics, Statistics or Risk Management.
•Three to five years’ relevant work experience in the asset management industry or another financial field, with at least two years’ experience in investment risk management and various aspects of financial markets.
•Chartered Financial Analyst (CFA), Financial Risk Manager (FRM), Certificate in Investment Performance Measurement (CIPM), Chartered Alternative Investment Analyst (CAIA) or a Professional Risk Management (PRM) qualification;
•Knowledge of Visual Basic for Applications (VBA), Matlab or R programming languages advantageous.
If you would like to apply for this position, please send transcripts with applications.
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