Junior Risk Manager
Singapore, SG
What it's about
You will be a part of the Quantitative & Risk Management team, comprising 30 members across Switzerland, Denver, Singapore and Luxembourg.
Responsibilities include:
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Monitoring product-level FX exposure and help manage the firm's ~USD 35 billion hedging program
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Liaising with deal teams and portfolio managers to fund the firm's investment pipeline, aligning deal flow and client demand
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Conducting research and market analysis for submissions to the firm's Global Portfolio Committee
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Engaging on new projects to drive operational efficiency and expand the scope of the team's analysis
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Bachelors degree with an emphasis on Finance, Mathematics, Physics or a similar quantitative degree. Masters degree (pre-MBA) are welcome to apply. 1-2 years experience preferred.
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A keen interest in international financial markets and market mechanisms
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Strong quality excellence and ability to work error-free
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A team player with strong communication skills
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Experience in development (e.g. Python, SQL) is considered an advantage
What we offer
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Learn the business from some of the world's leading private markets experts
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Challenging career path, intensive learning experience
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International environment
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Competitive salary with performance-oriented compensation models
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Long-term career perspectives
www.partnersgroup.com
Job Segment:
MBA, Risk Management, Manager, Management, Finance