Job Opportunity
Senior Portfolio Risk Manager
Singapore
Modelling of historical and bespoke market scenarios and liquidity regimes of Global Cross-Asset portfolio. Experience in equity and macro factor analysis as well as some programming (preferably with R or Python. Experience in asset management and/or fund management is essential.
Want the Full Job Details?
To access the details for this job (and hundreds like it), you need to upgrade to a premium account.
Already have an account? Log in here!