主要責任:
-Monitor and analyse portfolio exposure and perform sensitivity/scenario analysis, performance attribution.
-Provide analytical support for portfolio construction/hedging.
-Maintain and develop portfolio management tools and reports.
-Assist in department capital/limit allocation
希望你有/是:
- Good Degree in related fields of study
- At least 3yrs of relevant working experience in the banking or investment management field
- Have experience in FI/FX instruments.
- Hardworking and motivated fast learner
其他:
- Competitive salary and benefit
- 如果你有興趣,可以跟帖或站內短信我,如果適合的話,我會用公司郵件和你聯係。
-謝謝。