DMFI Risk Associate
Schonfeld is seeking a Risk Associate to join their APAC team in Singapore to analyze and calibrate portfolio risk. The role involves working closely with portfolio managers across various asset classes including rates, FX, equities, and commodities. Candidates must possess strong Python skills and experience in market risk or quantitative analysis. This position offers exposure to complex risk environments within a prominent multi-manager platform.
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Experience
3+ years
Function
Finance
Work mode
Onsite, Singapore
Company
Tier 2
What you will work on
Schonfeld is seeking a Risk Associate to join their APAC team in Singapore to analyze and calibrate portfolio risk. The role involves working closely with portfolio managers across various asset classes including rates, FX, equities, and commodities. Candidates must possess strong Python skills and experience in market risk or quantitative analysis. This position offers exposure to complex risk environments within a prominent multi-manager platform.
TAL's take
Strong role at a reputable hedge fund with clear responsibilities and defined domain focus in APAC risk management.
The JD is very crisp, clearly outlining the regional focus (APAC), specific asset classes (Rates, FX, Equities, Commodities), and core risk management responsibilities.
Must haves
- 3+ years experience in trading, quantitative analysis, or market risk
- Deep knowledge of FX and Rates
- Advanced programming skills in Python
- Ability to collaborate in a global team
- Strong communication skills for senior management presentation
Tools and skills
About the company
Schonfeld is a well-established global multi-manager hedge fund, fitting the tier 2 criteria for specialized financial firms.