<p><br>Job Description:<br>1. Under the guidance of colleagues, complete specific analysis tasks, understand the problems to be analyzed, determine the analysis framework and specific indicators, acquire and analyze data, interpret the analysis results, and finally form analysis conclusions<br>2. Daily complete the summary and sorting of specified data content, closely monitor business operation data, and be able to issue a data report for review when the results do not meet expectations<br>Requirements:<br>1. 1 to 3 years of work experience, bachelor's degree and above Educational qualifications Finance, Statistics, Computer Science and other related fields are preferred<br>2. Logical clarity, strong data analysis skills, able to apply various data processing and statistical tools fluently, including but not limited to Python, R, etc.<br>3. Strong learning ability, proactive thinking and strong communication skills, sense of responsibility and execution ability<br>4. Have a certain sensitivity to data, and be able to discover the relationship between data and business under guidance, and assist in business modeling and quantitative analysis<br><br>Responsibilities<br>Monitor and evaluate the investment risk, work closely with the investment team and senior management<br>Prepare regular risk reports and performance attribution analysis<br>Develop and enhance the firm’s reporting infrastructure for monitoring and identifying risks across the investment<br>Requirements<br>A bachelor’s degree in quantitative finance, mathematics, computer science or related disciplines;<br>Experience with risk management in hedge funds or related industries is an advantage;<br>Experience with equities, crypto, and derivatives trading is an advantage;<br>Proficient in Python, R or other programming languages commonly used in data analysis and finance<br>Demonstrated analytical and conceptual thinking skills with a passion for the finance and trading sector</p>