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Location: Tokyo, Kanto
Salary: Open
Employment Type: Permanent
Languages: English > Fluent
Industry: Financial Services
Sub-industry: Asset Management
Function: Financial Services

Company Overview

大手外資系資産運用会社

Job Description

- Portfolio summarizing and monitoring
- Performance and attribution analysis
- Monitoring client portfolios position weights and products
- Risk monitoring
- Portfolio Re-balancing
- Generating trade execution studies across a set of mandates or products in accordance with investment guidelines and benchmarks
- Reviewing pre- and post-trade compliance

Requirements

- Minimum 2-3years of experience in a finance related role. (trading or structuring, investment banking, or private equity etc.)
- Fixed income analytical skills
- Bloomberg, Advanced Excel skills are essential
- Programming skills (SQL and VBA) preferred
- Communication skills, Strong interpersonal skills and proven ability to build strong relationships with Portfolio Managers and peers
- Degree in finance, economics, mathematics or other related quantitative/analytical field from a leading, accredited college or university
- Progress towards CFA preferred
- Proficiency in English and Japanese

Additional Information


Benefits: Target Bonus is 10-20%