A leading international financial firm in Hong Kong is seeking a skilled professional for portfolio management. The role involves constructing and managing multi-asset portfolios while implementing risk parity frameworks and building quantitative models. The ideal candidate should hold a Master’s degree and have 7 to 10 years of experience in trading or portfolio management, with proficiency in Python and expertise in quantitative analysis. Competitive compensation based on experience.
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FULL TIME
Mid-Level
4/22/2026
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