ZL Wealth (Beijing) Investment Management Co., Ltd
Founded on August 8, 2016, it became a private equity investment fund manager registered with Asset Management Association of China in 2017, record number: P1065745. Adhering to the corporate mission of "wealth makes choices more free", and following the values of "sincerity, professionalism, steadiness and dedication", Zhongliang Wealth is committed to becoming a world-class wealth management company that adheres to long-term value investment to achieve compound interest growth.
Wealth makes choices freer
Sincere, professional, steady, dedicated
Become a long-term value investment
A world-class wealth management company that achieves compound interest growth
Value selection multi-factor stock selection, event-driven stock selection, quantitative timing, machine learning strategy, big data public opinion analysis, etc
Plate momentum analysis, order book model, ordering algorithm model, high-frequency arbitrage, offensive high-frequency, defensive high-frequency, etc
Multi-cycle, multi-variety, multi-strategy combination based on long-term fundamental trend, combined with fund management, position control and other ways
The risk control system is divided into five levels: the general manager, the risk control committee, the investment decision committee, the risk control department and the investment departments.
Release the Product
Medium seniority
Active customer
Strategy model
Job Description: Responsible for investment transaction processing of securities investment private fund and operation management of fund products.
Job Requirements:
1、At least two years relevant experience, bachelor degree or above in finance or finance related major;
2、Serious, responsible and rigorous in work, proactive in work attitude and strong pressure resistance;
3、Have good learning ability, strong communication and coordination ability, and have experience in team management;
4、Qualification of securities investment fund is preferred.
Job Description: Strategy development, solid trading
Job Requirements:
1、Bachelor degree or above, with finance and science background is preferred;
2、Have certain experience in industry, developed mature strategy model is preferred;
3、Proficient in Python quantitative analysis tools, familiar with C++;
4、Strong ability of mathematical analysis, logical reasoning and independent research;
5、Familiar with capital market, securities investment fund professional qualification is preferred.