About this role
The associate will partner with APAC portfolio management teams to analyze portfolio risk and calibrate risk guidelines across various asset classes. They will also conduct detailed trade-level analysis and present risk assessments to senior management.
Candidates must have 3+ years of experience in trading, quantitative analysis, or market risk, along with advanced Python programming skills. A quantitative academic background in fields such as Mathematics, Finance, or Physics is required.
What they're looking for
Portfolio ManagementRisk AnalysisRatesFXEquitiesCommoditiesPythonQuantitative Analysis
Frequently asked questions
What does a Discretionary Macro Fixed Income Risk Associate at Schonfeld do?
The associate will partner with APAC portfolio management teams to analyze portfolio risk and calibrate risk guidelines across various asset classes. They will also conduct detailed trade-level analysis and present risk assessments to senior management. Candidates must have 3+ years of experience in…
What skills does this Discretionary Macro Fixed Income Risk Associate role need?
Key skills for this role include Portfolio Management, Risk Analysis, Rates, FX, Equities, Commodities.
How much does a Discretionary Macro Fixed Income Risk Associate at Schonfeld pay?
The employer did not list a salary for this role. Most similar Singapore roles publish their band on the job page.
Is this Discretionary Macro Fixed Income Risk Associate role remote, hybrid, or on-site?
This role is on-site, based in Singapore.
How do I apply for this Discretionary Macro Fixed Income Risk Associate role?
You can apply directly on Schonfeld 's careers page. ApplyLah can tailor your résumé and cover letter to this exact role in seconds first.