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