Responsible for investment risk management and related data statistics;
Prepare an investment risk management report based on market conditions and company investment portfolio;
Conduct macroeconomic, financial and capital market research, identify market risks and provide asset allocation recommendations;
Study the trends in insurance/reinsurance investment-related regulatory policies and provide asset adjustment proposals;
Participate in asset allocation, asset restructuring, and major financing activities;
Implement investment and asset management risk control measures;
Other tasks assigned by the superior.
Master degree or above in Finance, economics, statistics, math or a related field from a well-recognized university required;
Minimum three years related working experience;
Strong analytical, writing and presentation skills;
Professional Chinese and English business literacy skills;
Sensitivity to data analysis, good organizational and analytical skills;
CFA, FRM qualification holders or Candidates are preferred.