Investment Risk Manager/Economist
- Designing the company’s market risk management procedure
- Performing all activities related to market risk management
- Closely working with investment managers
- Assisting in the quant related projects of the company
- Extensive internal reporting
- Macro briefings of relevant markets
- Supporting the company’s marketing efforts
- University degree (08 vintage also accepted)
- Max. 1 year of capital market experience
- Quant specialization is an advantage
- CFA/EFFAS/VAP or others are advantage
- Good analytical/quantitative skills
- Good command of English is a must
- IT literacy
- Team spirit
We offer an excellent career opportunity, competitive working environment and remuneration at one of the leading global financial service companies. Those interested are kindly asked to send their English CV and maximum one-page motivation letter to csilla.nemetvolgyi@inginvestment.hu before 19, March.
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