Job Description
- Product Launch: Involved in the product launch process by conducting research, setting up relevant configurations, tracking project progress, and ensuring smooth communication between front-end and back-end teams.
- Data Analysis: Use tools like NumPy and SciPy for financial product analysis, evaluating the impact of trading environments on performance, and conducting risk and return simulations.
- Automation: Utilize Python scripts to automate report and dashboard generation, streamlining workflows and reducing manual work.
- Report Generation: Produce regular analytical reports covering areas such as trading environment analysis, competitor analysis, and product optimization.
- Routine Tasks: Handle daily activities like monitoring stock company behavior, resolving customer complaints, setting inspections, and responding to emails.
- Cross-Department Coordination: Communicate across teams to ensure project progress, implement standardized processes, and meet organizational goals.
- SQL Database Management: Develop and maintain SQL databases, queries, and stored procedures to support reporting and data analysis needs.
What we are looking for
- Undergraduate or Master's Degree in Finance, Accounting, Economics, Mathematics, Statistics, or related fields.
- 0-2 years of related work experience, with a focus on the financial industry, including forex trading, investment funds, and investment advisory.
- Proficiency in PowerPoint, Excel, Word, SQL, and Python.
- Excellent communication skills, with the ability to present complex data-driven insights to both business stakeholders and risk management team.
- Strong critical thinking and problem-solving skills, with attention to results.
- Ability to work independently and manage multiple projects in a fast-paced environment.
- Willingness to work irregular overtime on weekends