Risk Modeling & Portfolio Review Officer



Develop integrated risk models or platform.
Review derivative pricing model.
Provide a risk monitoring reports.
Compare, evaluate and communicate funds’ performances with selected competitors’ portfolios.
Prepare report to rating agency that evaluate fund
Conduct performance measurement and attribution analysis on internally managed funds.
Provide investment analysis from a marketing perspective.
Others as may be assigned.


Age not over 30 years old.
Bachelor Degree or Master Degree in Finance, Quantitative Finance, Business Administrative, Economics, Statistic, Management Information System or related fields.
Initiative, attention to detail, analytical and logical thought process, discipline and ethical.
Service minded, good relationship and work-well under pressure and team player.
Good command in English.
Advanced knowledge of Excel, Word and PowerPoint.
CFA or FRM Certificate is preferable
Teacher Assistance or Research Assistance Experience is preferable.


  • เปิดรับสมัครถึง: 24 Nov 2016
  • เต็มเวลา
  • Work Routine: จันทร์ - ศุกร์
  • อื่นๆ


  • ปริญญาตรี
  • ปริญญาโท
  • อายุ: ด้านล่าง 30 ปีอื่นๆ
  • ประสบการณ์: ไม่เคยมีประสบการณ์

Spoken Languages

  • อังกฤษ (Basic)

Written Languages

  • อังกฤษ (Basic)


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