Schonfeld Strategic Advisors is seeking a Dmfi Risk Associate to analyze portfolio risk and collaborate with portfolio management teams in Singapore. The ideal candidate should have over three years of experience in market risk, strong analytical skills in FX and Rates, and proficiency in Python
Job Summary
The role involves partnering with APAC Portfolio Management teams to analyze portfolio risk across the region.
Candidates must possess deep knowledge of FX and Rates with a preference for Emerging Markets experience.
Schonfeld fosters a culture where talent is empowered to learn, innovate, and pursue ambitious goals.
Matching Summary
Match Score: 85
Schonfeld Strategic Advisors is seeking a Dmfi Risk Associate to analyze portfolio risk and collaborate with portfolio management teams in Singapore. The ideal candidate should have over three years of experience in market risk, strong analytical skills in FX and Rates, and proficiency in Python.
Skills & Requirements
Must-have
3+ years trading or market risk experience
Deep knowledge of FX and Rates markets
Advanced Python programming skills
Experience with EM specific markets
Quantitative academic background required
Nice-to-have
Strong communication with senior management
Collaborative global team environment
Ability to present complex risk concepts
Proactive view of current risk environment
Key Requirements
3+ years experience in trading, quantitative analysis, or market risk
Academic background in Mathematics, Finance, or Physics