Risk & Financial Analyst
The analyst will be involved in financial analysis to deliver innovative risk management and investment solutions for Ultra-High Net Worth Individuals
Required skills are:
University degree in Mathematics, Economics/Finance, Physics or Engineering with an excellent academic career;
At least 2-3 years of experience in risk management or quantitative analysis units in Banks, Insurance Companies, Financial Institutions, Asset Management Companies or Hedge Funds.
Good knowledge of:
• Risk management methodologies;
• Econometrics, time series analysis and statistical methods;
• Derivatives pricing;
• Algorithm design methodologies;
• Matlab programming;
• Visual Basic programming;
• Database design and management methodologies;
• MS Office and advanced Excel modeling;
Comfortable to work in a challenging, result oriented team environment; English fluency.
A PhD, Master in Finance or a CFA would be preferred.
*Applications will be treated in strict confidence*
**We regret that only short-listed candidates will be notified**
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