Requires a Bachelors degree or foreign equivalent in in Business Administration, Finance, Mathematics, Mathematical Finance, Computer Science or a related field and 5 years of experience in the job offered or in portfolio risk management. Must also have 3 years of experience in each of the following Identifying short and long term trading opportunities; Managing a portfolio of equities; Developing tools and techniques for modeling and analyzing markets and instruments; Performing fundamental analysis and valuation; Functionalities in MS Excel including financial modeling; and, communicating investment recommendations to clients or senior management. Experience may be gained concurrently. Employer will accept any suitable combination of education, training andor experience which would qualify an applicant for this position.
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