Do you like Portfolio Management and Risk Analysis?

Financial Market Analyst specialized in Portfolio and Risk management.

We are looking for:

  • Bachelor in Business Studies or Economics.
  • Advanced knowledge of software specialized in Risk Analysis applied to portfolio management.
  • Knowledge of econometrics and applied statistics to temporal series.
  • At least one years’ experience in a similar job.
  • Excellent level of English, both written and spoken (undertake test).

We will value:

  • Postgraduate Courses in Financial Marketsi
  • Knowledge in Spanish or Portuguese

If you fulfill the requisites:
Please send us an e-mail with a cover letter and your CV to: cv@3.14financial.com

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