Investment Risk Analyst

Candidates must have strong ability to recognize and measure risk across a variety of instruments and investment strategies. Candidates will reduce complex analytics into key points for daily communication and recommendations to management and traders. The position requires a working knowledge and understanding of sophisticated pricing methodologies in a portfolio management and trading environment. Candidate may be required to model trading strategies. A BA or BS in mathematics, finance or economics from a top school is preferred. This position offers a base salary, competitive bonus and a comprehensive benefits package.

 

Refer to Job# 20121-EFC and email MS Word attached resume and a description of the strategy and results to David Medderick, david@analyticrecruiting.com.

 

July 3, 2013 • Tags:  • Posted in: Financial

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