Bachelor's degree or Master's degree Business Administration, Finance, Economics or related fields
1 year experience
Have spoken and written skills in Thai and English including good presentation skills
have rational thinking skills and good problem solving
have good human relations Able to contact and coordinate very well
Detailed, prudent and interested in following the new rules related to
Experience in asset management companies, banks or wealth management will be an advantage
Track and analyze changes in fund risk values in various fields. and analyze the changes in the fund's risk values in various fields for those involved.
Measure the performance of each fund and prepare a report to those involved. Compared to Peer group performance
Consider analyzing various risk factors in setting up a new fund. including analysis of high-risk securities
Review and review investment risk management policies and procedures. especially when there are events that are significant to fund management.
Examine and review the Company's operational risks.