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Lead market research, requirements analysis, and product roadmap development for institutional clearing & settlement solutions, ensuring prompt delivery in align with business objectives
Conduct in-depth data analysis on trading, assets, risk, and settlement to deliver high-quality client reporting
Design and optimize the reporting module, including customizable statements and account analytics, ensuring scalability and flexibility
Develop portfolio analysis models (risk metrics, performance attribution, etc.) to support investment decision-making
Requirements
Solid understanding of global markets (HK/US equities, FX, futures, options). Experience at securities firms, funds, banks, or fintech vendors (e.g., Enfusion/FIS/Horizon) are desired
Bachelor's+ in Finance, Math, Statistics, or related field. Securities clearing/settlement knowledge and big data/system experience are preferred
Expertise in portfolio performance attribution (e.g., Brinson model), risk analytics (e.g., VaR, Sharpe,Sortino), and multi-asset analysis. Knowledge of quantitative optimization (factor modeling, ML applications) are preferred
Strong analytical and problem-solving skills. Proven ability to manage projects, communicate cross-functionally, and execute under pressure
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