Responsibility:
Develop core analytical capabilities or model libraries, using advanced statistical, quantitative, or econometric techniques.
Research or develop analytical tools to address issues such as portfolio construction or optimization, performance measurement, attribution, profit and loss measurement, or pricing models.
Research new financial products or analytics to determine their usefulness.
Produce written summary reports of financial research results.
Requirement:
Master’s degree or above in Mathematics, Computer Science, Financial Engineering or any other related field.
1+ year related working experiences.
Fluent English is a must
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