• At least 6 or 10 years’ experience in risk management, portfolio construction, internal alpha capturing.
• Exposure in performance analysis, strategy evaluation, back-testing and optimization;
• Well verse in one or more areas in Rates, FX or Credit products.
• Strong technical skill, e.g. familiar with coding in one language (VBA, Python, R or Matlab), sql etc;
• Comfortable working in a dynamic, fast -paced environment with multi-tasking.
• Hands-on, adaptable, keen and fast learner, team player
• Strong engagement and advisory to Front Office traders or Portfolio Managers
EA License No. 16S8296
EA Reg No. R1106582
Candidates based in Singapore are highly preferred due to current covid 19 travel restrictions.