Responsibilities
1. Track financial market trends, pay attention to changes in interest rate policies at home and abroad, and formulate and implement investment strategies based on market conditions and company strategies 2. Study various financial products, including stocks, funds, bonds, insurance, foreign exchange, etc., and evaluate their risk-return characteristics and investment value 3. Identify, analyze and evaluate investment risks, formulate corresponding risk management measures, and adjust investment strategies in a timely manner to cope with risks according to market dynamics 4. Write financial analysis reports regularly, conduct in-depth analysis of the company's financial situation, report to the management on the use of funds and investment results, and provide decision-making support 5. Participate in the preparation and implementation of the annual budget, monitor the implementation of the budget, and put forward budget optimization suggestions to improve the efficiency of resource allocation.
Qualifications
1. Bachelor degree or above, majoring in finance, economics, finance and other related majors, registered financial analyst, financial planner, securities analyst and other related qualifications are preferred 2. More than 5 years of work experience in corporate fund management, financial institutions, consulting companies, etc., familiar with international financial markets and trading rules, keen and insightful about the market 3. Have a high sense of responsibility and professionalism, work conscientiously and responsibly, pay attention to details good teamwork spirit and collaboration ability 4. Abide by professional ethics and industry norms, and keep company information and business secrets 5. English can be used as a working language, and overseas study/work experience is preferred.