Risk Manager:Equity Fundamental Research

高奧士國際控股有限公司
人力資源管理/顧問
發佈於06-13
HK $50K-75K/月
學士
1至3年

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工作內容

Key Responsibilities:

  • Conduct in-depth fundamental analysis of equities to assess and quantify portfolio risks

  • Work closely with investment teams to evaluate position-level and sector-level exposures

  • Monitor macro and micro risk factors, including earnings quality, valuation metrics, and balance sheet strength

  • Build and maintain risk models to simulate stress scenarios and identify vulnerabilities in the portfolio

  • Prepare regular risk reports and provide insights on risk-adjusted performance

  • Liaise with compliance and operations to ensure adherence to internal risk controls and regulatory requirements

Qualifications:

  • Bachelor’s degree or above from a top-tier university (Finance, Economics, Accounting, or related fields preferred)

  • 3–5 years of relevant experience in mutual funds, hedge funds, or investment banks

  • Strong understanding of financial statements, valuation methodologies, and equity markets

  • Familiarity with risk modeling tools and portfolio analytics (e.g., Barra, Bloomberg PORT, Python/Excel VBA is a plus)

  • Excellent analytical, communication, and problem-solving skills

  • Fluent in English and Mandarin


語言技能
普通話
英文
技能
金融風險管理
股權研究
基礎研究

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Leighton Wu
高奧士國際控股有限公司 · recruiter
七天內活躍

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