金融海归机会(银行,上海):某国企大型银行急招(entry level)产品经理及投资经理各一名# Returnee - 海归
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1 楼
The Bank of Communication, founded in 1908 and based in Shanghai, is one the
“Big Five” banks in China. With the great development of asset management
in China, the bank reformed the asset management department as a new
important business division (profit center) to further the success of the
business. As of June 2014, the asset management center has more than 1000
billion RMB (160 Billon USD) AUM. For now, we have the following positions
urgently to fill:
1. Product Manager
Responsibility:
a. To design the asset management product to facilitate the Chinese
investors to the global capital market.
b. To work closely with sales departments during the whole processes of
product release.
Requirements:
At least Master degree from Mathematical Finance/Statistics/Finance/
Business, 2 or more years’ experience at major financial institutes,
familiar with fixed income and equity market derivative pricing, good
communication skills, good at programming in Excel/VBA .
2. Investment Manager
Responsibility:
a. Global capital market investment via FOF/MOM et al
b. FX arbitrage investment
c. Investment Risk control (Market risk, Liquidity risk, FX risk, et al)
Requirements:
At least Master degree from Mathematical Finance/Statistics/Finance/
Business, 2 or more years’ experience at major financial institutes,
familiar with fixed income and equity market derivative pricing/hedging,
familiar with asset and risk allocation, good communication skills, good at
statistically modeling, very good at programming in Matlab, VBA, C++/C#.
Please send resume to [email protected]
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“Big Five” banks in China. With the great development of asset management
in China, the bank reformed the asset management department as a new
important business division (profit center) to further the success of the
business. As of June 2014, the asset management center has more than 1000
billion RMB (160 Billon USD) AUM. For now, we have the following positions
urgently to fill:
1. Product Manager
Responsibility:
a. To design the asset management product to facilitate the Chinese
investors to the global capital market.
b. To work closely with sales departments during the whole processes of
product release.
Requirements:
At least Master degree from Mathematical Finance/Statistics/Finance/
Business, 2 or more years’ experience at major financial institutes,
familiar with fixed income and equity market derivative pricing, good
communication skills, good at programming in Excel/VBA .
2. Investment Manager
Responsibility:
a. Global capital market investment via FOF/MOM et al
b. FX arbitrage investment
c. Investment Risk control (Market risk, Liquidity risk, FX risk, et al)
Requirements:
At least Master degree from Mathematical Finance/Statistics/Finance/
Business, 2 or more years’ experience at major financial institutes,
familiar with fixed income and equity market derivative pricing/hedging,
familiar with asset and risk allocation, good communication skills, good at
statistically modeling, very good at programming in Matlab, VBA, C++/C#.
Please send resume to [email protected]
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/* ]]> */