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APAC Macro Fixed Income Risk Analyst

Schonfeld

singapore, singapore, Singapore Full-time July 11, 2026

Found Description

Schonfeld in Singapore is seeking a Discretionary Macro Fixed Income Risk Associate to partner with APAC Portfolio Management teams. The role involves analyzing portfolio risk, calibrating risk guidelines, and collaborating with portfolio managers.

Candidates should have at least 3 years of experience in trading or market risk, with a strong knowledge of FX and Rates. Advanced programming skills in Python are essential, along with excellent communication skills to present complex risk concepts to senior management.

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