Qualifications
- Thai nationality, Bachelor’s degree in Finance and Banking or MBA in Finance or related fields
- Age 28 – 35 years
- At least 5 years experience in Market Risk / Investment Risk of Asset Management Industry will be an advantage
- Strong financial and Risk modeling Analytics skills , and monitor trading activities to comply with Risk Control and Portfolio
- Proficient in Programming skill ( Excel, VBA, Database, Python, R, SQL )
- Good command of English and computer literacy