Quant and Risk Analyst
S$150000 - 200000 / annum
2 April 2019
Banking and financial services
Our client is renowned, leading Hedge Fund in Asia, with a growing presence across the region. They have an excellent brand image and offer a platform for careers to really excel.
Due to the nature of the role, you will be a candidate with roughly 5 years of buy-side experience and must be extremely analytical in your approach. The job holder will need experience across quant trading and/or portfolio optimization: exposure to alpha caputuring, systematic trading strategies, back-testing and risk management. The incumbent most have strong product knowledge across FX, FI or Credit and will need to be degree educated in a quantitative subject such as Mathematics, Stats, Quant Finance or Engineering.
Please send your resume, in WORD format only and quote reference number DT10733610, by clicking the apply button. Please note that only short-listed candidates will be contacted.
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