1. Bachelor degree in economics, finance, investment, finance or related major, with overseas education background or master's degree in related disciplines is preferred;
2. Those with certified public accountants, FRM, CFA and other qualifications are preferred;
At least 3.3 years working experience in financial analysis or credit evaluation of credit rating agencies or large financial institutions;
4. Solid financial skills, strong analytical skills, and good Chinese and English expression skills;
5. Self-motivated, willing to accept high-intensity work, rigorous and meticulous, with strong coordination and communication skills.
Another example is the requirement of harvest fund Management Co., Ltd. to recruit risk management analysts:
1 above. 1-3 years experience in risk or investment management of funds and securities companies;
2. Master degree or above in finance (engineering), mathematics, computer or related major in key universities at home and abroad;
3. Familiar with risk management, financial engineering, market quantitative analysis tools and theories, and experience in portfolio or risk management modeling is preferred;
4. Those with CFA (level 2 or above) and FRM qualifications are preferred.
Risk controllers, auditors of financial institutions, asset managers, fund managers, financial traders (brokers), investment bankers, commercial banks, risk technology providers, risk consultants, corporate accounting and auditing departments, CFO, MIS and CIO of financial institutions. Most mainly serve large enterprises and financial workers.