Help create and validate predictive regression models to provide a better understanding of real estate fundamentals in various international markets;
Contribute to various analyses related to risk management and/or strategic forecasting;
Update the database of historical returns on a quarterly basis and take part in the development of a future computer solution;
Enter the information required to populate, update and calibrate portfolio management tools and databases.
● 职位要求:
拥有在工商管理(商业技术或金融)或计量经济学学士学位或在相关领域攻读硕士学位;
具备相当的数据建模、财务分析和各类系统开发技能;
熟练掌握Excel和其他辅助工具,拥有数据库和SharePoint基础知识;
熟悉MATLAB和R语言。
● Requirements:
Enrolment in the third year of a bachelor’s degree in business administration (concentration in business technology or finance) or econometrics, or enrolment in a master’s degree in a relevant field;
Considerable skill with data modelling, financial analysis and development of various types of systems;
Advanced knowledge of Excel and complementary tools (including Power Query and Power Pivot) as well as database and SharePoint fundamentals;
Familiarity with MATLAB and R programming languages;