序号 | 岗位名称 | 所在部门 | 工作职责 | 任职资格 |
1 | 债券研究 | 固定收益投资中心 | 1. 深入分析宏观经济、政策、资金等因素,定期撰写债券市场分析和定价报告; 2. 准确判断市场运行趋势、投资机会及其风险,及时撰写专题策略报告,并能根据不同账户投资要求提供及时、准确的投资建议或方案,为部门决策提供有效支持; 3. 深入研究市场衍生品和创新产品,挖掘其可能存在的投资机会。 4.负责固定收益市场主要衍生产品的跟踪和研究,以及相关量化投资策略的研究和开发; 5.负责重点量化策略投资模式的模型搭建、编程、模拟和测算,以及逻辑验证等工作; 6.金融市场数据库整理和维护,以及公司量化分析平台的持续开发和维护等。 | 1.海外知名高校硕士及以上学历; 2.经济、金融等相关专业背景 |
2 | 股票交易 | 公募交易室 | 1 .根据投资经理的交易指令,准确完成投资日常交易任务; 2. 密切跟踪并分析市场变化,及时向投资经理反馈相关市场信息; 3 按照部门领导及交易主管的要求,及时准确完成交易相关工作 | 1.海外知名高校硕士及以上学历; 2.经济、金融等相关专业背景; |
3 | 资产配置研究 | 资产配置中心 | 1.分析宏观经济与投资市场变化,回顾投资组合配置情况和影响,根据需求提出策略方案或建议; 2.监控、跟踪和分析账户资产配置执行情况,对投资业绩进行预估和分析; 3.研究对保险负债和承保业务可能产生重大影响的因素,撰写分析报告。 | 1.经济、金融、金融工程或数学统计,理工等相关专业背景; 2.海外知名高校硕士研究生及以上学历; |
4 | 产品研发 | 产品中心 | 1.负责市场产品研究,了解产品趋势和行业情况,撰写产品研究报告; 2.负责新产品的开发和设计,与市场和投资部门密切沟通,进行产品发行的材料准备、上会、监管机构报备等; 3.负责产品上线发行的沟通协调、准备、上线后产品运营和维护,日常与监管机构的沟通,负责对销售团队的产品培训等。 | 1.海外知名高校硕士及以上学历; 2.经济、金融、数学、金融工程或精算、统计等相关专业。 |
5 | 技术研发 | IT及互联网中心 | 1. 负责系统需求、开发、实施、维护全过程管理; 2. 负责组织需求分析工作,与需求部门保持良好的沟通,有效的控制项目需求,控制项目范围和变更; 3. 根据用户需求,能独立进行系统设计并形成设计文档; 4. 负责制定项目计划,负责项目管理,主导、协调各方进展,保证项目按时按质完成。 5. 负责项目各阶段的评审、复核工作。 | 1.硕士及以上优先,2018年毕业 2.计算机、软件等相关专业背景。 |
6 | 风险管理(公开市场) | 风险控制部 | 1. 进行投资组合风险评估和业绩归因深入分析,完成风险识别、测量、监测、预警和组合风险报告; 2. 参与新产品投资风险评估和规划; 3. 为销售团队提供旗下投资组合的风险业绩分析支持; 4. 负责投资绩效考核和评估。 | 1. 海外知名高校数理统计、金融数学等相关专业硕士研究生以上学历,有较强的数理研究基础; 2. 有相关研究工作经验3年以上,量化风控经验优先; 3. 统计与数据分析能力强,能熟练运用SAS、VBA、matlab等计量软件,熟悉市场常用金融产品数据库结构优先。 |
No. | Opening | Division | Responsibility | Qualification |
1 | Bond Research Manager | Fix-income Investment Center | 1. In-depth analysis of macroeconomic, policy, capital and other factors, regularly write bond market analysis and pricing report; 2. To accurately determine the market trends, investment opportunities and risk, timely writing thematic strategy report, and according to different account investment requirements to provide timely and accurate investment advice or program for departmental decision-making to provide effective support; 3. In-depth study of market derivatives and innovative products, tap the possible investment opportunities. 4. Responsible for tracking and research of major derivative products in fixed income markets, as well as research and development of relevant quantitative investment strategies; 5. Responsible for focusing on quantifying the strategic investment model of the model building, programming, simulation and measurement, and logical verification work; 6. Financial market database consolidation and maintenance, as well as the company's quantitative analysis platform for continuous development and maintenance. | A master degree or above in economics and other science majors from top universities; |
2 | Stock Trader | Trading Room of Mutural Fund BU | 1. Handle daily trading execution following instructions from the investment manager; 2. Closely follow and analyze market trends, and report market market commentary, statistics, etc. to investment manager; | A master degree or above in economics and other science majors from top universities; |
3 | Asset Allocation Manager | Asset Allocation | 1. Research on macro-economic and market trends; review performance of investment portfolio and offer strategic proposals; 2. Monitor, review and analyze account asset allocation; conduct forecast and performance review; 3. Research on factors that influence insurance solvency. | A master degree or above in economics, finance, financial engineering or mathematical statistics, and other science majors from top universities; |
4 | Product Development Manager | Product Center | 1. Research on products, market and industry trends; complete product research report; 2. Design and develop new products; prepare product issuance materials, memorandums and filings for regulatory authorities in line with front desk; 3. Coordinate product issuance; responsible for product operations and maintenance, communications with regulatory authorities, and trainings for product sales teams. | A master degree or above in economics, finance, mathematics, actuarial science, statistics, financial engineering or other related majors from top universitieis. |
5 | Techinical Development | IT&Internet Center | 1. Responsible for system requirements, development, implementation, maintenance of the whole process of management; 2. Responsible for analysis work of organization needs , maintain good communication with the demand department, effectively control the project requirements, control the scope and changes of the project; 3. According to user requirements, can be independent of the system design and the formation of design documents; 4. Responsible for the development of project plans, responsible for project management, leading, coordinating the progress of the parties to ensure the completion of the project on time. 5. Responsible for the review and review of each stage of the project. | A master degree or above in computer, softwareor other related majors from top universitieis,graduated in 2018. |
6 | Risk Manager(open-market ) | Risk Control Department | 1. Conduct a portfolio risk assessment and performance attribution in-depth analysis to complete risk identification, measurement, monitoring, early warning and portfolio risk reporting; 2. Participate in new product investment risk assessment and planning; 3. Provide support for the sales team's risk performance analysis of its portfolio; 4. Responsible for investment performance assessment. | 1.A master degree or above in mathematical statistics or financial mathematics and other science majors from top universities; have a strong foundation of mathematical research; 2. Relevant research work experience for more than 3 years, quantitative risk control experience is preferred; 3. Strong statistics and data analysis ability, skilled use of SAS, VBA, matlab and other measurement software, familiar with the financial product database structure priority. |