Responsibility
1. Asset allocation of Par fund product in life company;
2. Independant financial market analysis based on asset managers;
3. Performance attribution of portfolio and risk exposure monitoring for return enhancement;
4. Support the liquidity and investment IT platform construction from a user side;
5. Other task assigned by supervisor;
Requirements
1. Bachelor degree or above, Mathematics, finance, accounting, statistics, or computer science in top college is preferred
2. Strong quantitative and analytics skills on financial market, Proficient in data analysis with Python( Pandas, Sciket-learn, Matplotlib)
3. About 1 years working experience in investment or consulting.
4. Team player who have a strong sense of responsibility, ability to withstand pressure
5. Fluent in English and Chinese, Good at formal writing and presenting in Mandarin
| Salary | negotiable |
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Posted on 11d ago
Posted on 11d ago
Posted on 6d ago