Financial Quantitative Analyst

We are looking for a Financial Quantitative Analyst who meets all of the following qualifications:


  • Education: Bachelor’s or Master’s degree in Finance or Financial Mathematics is required
  • Certification: Passed the Chartered Financial Analyst (CFA) Level III exam and holds FINRA Series 3 and 65 licenses
  • Work experience: have at least one year of work experience in investment management and six months of work experience in regulatory compliance
  • Proficient in MS Office Suite (Excel, Word, Power Point etc.)
  • Strong verbal and written communication and presentation skills
  • Independent research and problem solving skills

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Financial Analyst


The analyst will be responsible for supporting the investment manager through all stages of the investment process. Financial analysts use data trends to see if an investment opportunity fits the needs of an organization, business or individual. Conducting investment research globally and find different and possible investment opportunities. Financial analysts take information and data to project new trends that can be beneficial when deciding on investment opportunities, also assist manager with financial plans, research reports and other investment document. Continue reading “Financial Analyst”

Equity Analyst


The Analyst is the primary analytical support for investment manager, also assist in the cultivation of customer relationships by conducting research, participating in strategic planning and assisting in the execution of advisory services. Specific responsibilities include creating, updating, and maintaining financial models, writing company and industry reports, conducting fundamental research and communicating with clients, internal sales people and senior management. Continue reading “Equity Analyst”

Risk Analyst

Job Description:

The analyst should demonstrate an understanding of the geographic market and industry influences including Chinese market and U.S. market. The analyst is responsible for identifying, planning, and executing strategies for improving risk management within the organization. Also specify/build analytical tools and reports to create and distribute market risk information to management team, help businesses determine the amount of financial risks involved concerning investments and operational costs. Assists in control of commodity and operational risk across all business units.

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Investor Relations Specialist

Job Description:

Working with the investment manager to attract and retain long-term investors, encourage focus on long-term financial performance, provide reliable and accurate information to the analyst and investor community, all while strictly adhering to legal and regulatory guidelines. Working on ensuring the IR platform is synchronized with the company’s strategy and provide feedback to assist development of that strategy. Continue reading “Investor Relations Specialist”