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Schonfeld in Singapore is looking for a professional with a solid background in trading and market risk. The candidate will partner with APAC Portfolio Management teams to analyze portfolio risk, manage risk guidelines, and present assessments to senior management.
The ideal candidate should have a minimum of 3 years of trading or quantitative analysis experience, strong knowledge of FX and Rates, and advanced Python programming skills. This role requires effective collaboration within a global team environment.
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