Position requires a Bachelors degree, or foreign equivalent, in Finance, or a closely related field of study, plus 5 years of experience in the job offered, or as an Analyst, Assistant Portfolio Manager, or similar experience in professional investment position. Must have 5 years of experience working with each of the following fundamental equity analysis, quantitative equity analysis, portfolio theory, equity portfolio risk management, quantitativeequitymodeling techniques; working with an equity portfolio management team including an experience with equity analysis, valuation, and portfolio management; using financial software such as Bloomberg or FactSet. Must have 2 years of experience with BQL, Bquant, Python, and VBA programming languages and tools. Option to work remotely is available.
Categories: eb3
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