Bachelors degree or foreign equivalent in Economics, Finance, Accounting, or a related field and four 4 years of investment experience implementing asset allocation policy; retaining, monitoring, and selecting investment managers; participating in due diligence process for new and existing investments; and performing risk analyses on the investment portfolio using knowledge of the risk analytics system; as well as three 3 years of experience working with the Caissa risk analytics platform; and working with Environmental, Social, and Governance ESG investment principles and thirdparty ESG data providers including MSCI ESG, Bloomberg ESG Data, DJSI, and ISS.

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