Education:
Bachelor's degree in Science, Engineering, Finance, Economics, Mathematics, Statistics, or a related field
Experience:
- 1-2 years relevant work experience in risk management, portfolio analysis, or a related field within the financial industry.
- Familiarity with financial markets, investment products, and regulatory requirements.
- Fresh graduates with strong analytics background are welcomed.
Technical Proficiency:
Familiar with database, statistical tools or programing language for data analysis, data visualization (SQL, Python, R, SPSS, Excel, Tableau, Power BI, etc)