Company Introduction
Polymer Capital Management is a market-neutral, multi-manager investment platform based in and focused on Asia. Polymer combines established institutional support and deep knowledge of local financial markets with a dedication to discovering and developing the region's best investment talent. Polymer was established in conjunction with PAG, one of the world's largest Asia-focused alternative asset managers, in 2019.
Job Responsibilities / Job Brief
- Research, build and maintain quantitative tools and processes to support firmwide risk management
- Work with portfolio managers to research and develop various reports and tools to assist with portfolio performance/risk management and risk mitigation.
- Test and deploy quantitative tools and processes to Production environment.
- Other ad-hoc data analysis tasks as requested to assist in the investment and risk manag...