jobs in Erudite Research & Consulting Limited

全职 Risk Manager - Quantitative Analytics Role - Global Hedge Fund Jobs, in Erudite Research & Consulting Limited - Ricebowl

Risk Manager - Quantitative Analytics Role - Global Hedge Fund

Erudite Research & Consulting Limited

Undisclosed

Hong Kong

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工作地点

  • Hong Kong Hong Kong

职位描述

岗位职责

Job Description:

We are working with a well-established, market neutral Global Hedge Fund and they are looking for talents to join their team as their Risk Manager in their Hong Kong Office.

This is an excellent opportunity for seasoned talents with a strong experience in the Risk Management domain that are looking to join a rapidly growing Buyside Firm to support their Portfolio Managers and business needs as they grow and take on new market opportunities based on the analytics provided by you.

Whether you are a Risk Manager with expertise in Wealth Management, Front Office Trading or Portfolio Trading/Management - if you came from a Buyside Quantitative Analytics background, the team is more than happy to have a chat with you to discuss further!

With the global teams, supportive and collaborative culture within the company, this is a valuable opportunity for talents with strong experience in Risk Management to make an impact and be part of the growing Hedge Fund.

Roles Available:

  • Risk Manager - Quantitative Analytics Role - Global Hedge Fund

Why Apply?

  • Opportunities to be part of a growing Hedge Fund to support their continuously growing business demands and capture market opportunities!
  • YOU are the key person that the Portfolio Managers goes to for hands-on Risk PNL analytics to facilitate their trading decisions!
  • Technology first mindset - teams strives to provide the best solution with the right technology for the job.
  • Young and highly motivated team from a diverse background - very collaborative and supportive environment!

What Do You Need?

  • Hands-on experience in Risk PNL / Quantitative Risk Analytics within the Wealth Management / Front Office Trading domain in Buyside environment
  • Strong knowledge and understanding in financial products, related client facing solution offerings or the tradeflow/workflow of Wealth Management is a must
  • Strong experience in Python / ExcelVBA is a must
  • Experience in Data Visualization / Dashboard developemnt is a strong plus!
  • Strong communication and stakeholder management skills - you need to work closely with Portfolio Managers for bi-weekly Risk and Portfolio Analysis to help drive business decisions!
  • Desire to make a real impact on the business as you pro-actively influence the trading decisions of the team from a Risk PNL point of view!

If the roles sounds attractive to you, click and apply or submit your CV to *************!

For more information, please feel free to reach out to Anson Cheng at +************* (WhatsApp / Signal) to learn more!

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