Equity-fund Risk Analyst recruitment
Job Description:
• Market risk management of several regional portfolios.
• Counterparty risk monitoring.
• Performance attribution and analysis of dedicated funds.
• Conduct daily duties with portfolio managers.
Requirements:
• 4 to 6 years of experience working within a risk controlling role focusing on equity in an asset management environment.
• Understanding of the regulation/compliance regarding equities in China and other regional markets.
• Strong technical and IT skills.
• Fluent in English Mandarin is essential for this role.
• FRM/CFA qualifications are an advantage.
Benefits:
• Competitive package
• Opportunity to manage junior people in a growing team.
• The company has a demonstrable history of providing great career paths for successful staff.