Offer summary
Qualifications:
Bachelor’s Degree in Accounting, Finance, or Mathematics, 5+ years’ experience in accounting/financial services, Master’s Degree, CPA/CFA are pluses, Strong organizational skills and detail-oriented, Proficient in Microsoft Office suite, advanced Excel skills.
Key responsabilities:
- Monitor risk profiles and performance attribution of hedge funds
- Develop, maintain, and enhance daily risk modeling processes
- Ensure funds operate within prespecified risk limits
- Answer risk-related queries from various business units
- Review modeling and mapping reconciliations for accuracy