Portfolio Risk and Strategy recruitment
The incumbent will be responsible for the deal evaluation by reviewing investment proposals, perform industry and financial analysis. He/she will monitor the portfolio investment and involve in the operational issues. In addition, he/she will be required to provide independent recommendation and view on the divestment strategy.
Requirement:
- Degree from highly reputable university (MBA or other equivalent post graduate degree will be a plus point)
- Minimum 5 years of relevant financial analysis or strategy risk in the private equity firm or leading strategy consulting firm
- Excellent analytical and presentation skill
- Good understanding of various investment products
We regret that only suitable candidates will be contacted for further discussion.
June 5, 2012
• Tags: Asset Management careers in the Singapore, Portfolio Risk and Strategy recruitment • Posted in: Financial