Full-time Posted June 28, 2026
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Job Description

My client is a multi-strategy asset management platform founded in the late 2000s in Asia by former investment banking and hedge fund executives. Competing directly with global multi-strat giants across the region, the firm manages several billion USD in their flagship fund. With a prominent sovereign wealth fund as a strategic minority stakeholder, they benefit from deep institutional backing while maintaining the agility of a lean, high-performance shop. The firm has been growing aggressively and operates across multiple offices in Asia, Europe, and the Middle East. They are known for running a lean operation with high profitability per head and offer excellent total compensation and benefits.

Role Overview

We are seeking a Quantitative Risk professional to join the APAC Risk team, sitting on the Equities side. This is not an alpha generation role within a trading pod. You will be part of the central risk team, supporting the Equities desk across fundamental equities...

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