A winning application
Tips for applying
Are you interested in working for us? The following pages present some practical tips for applying for a position at Raiffeisen Capital Management.
»More
A winning application
Tips for applying
Are you interested in working for us? The following pages present some practical tips for applying for a position at Raiffeisen Capital Management.
»MoreMain fields of work
As a leading asset manager, we offer our clients a diverse range of investment funds and asset management strategies. Our successful products are managed by various different teams, composed of committed employees with wide-ranging expertise.
Fund managers
Fund managers are specialists in investments and securities, who are responsible for investing the fund assets of our clients. Relevant educational background (degree, CFA or similar), professional experience in the finance business and market and good language skills are fundamental prerequisites for this profession.
Portfolio managers
Portfolio managers are employees of Raiffeisen Vermögensverwaltungsbank, who are responsible for the creation of client portfolios and make decisions on the purchase and sale of securities. The basis for these decisions is the investment matrix and the contractual instructions of our clients. Relevant educational background (degree, CFA or similar), professional experience in the finance business and market and good language skills are fundamental prerequisites for this profession.
Specialists and staff for mid-office
Mid-office is an important interface between fund management and securities trading. Employees are responsible for the implementation of new products and strategies, compliance with the statutory regulations and minimisation of operational risks. Interest in securities, structured work and a strong command of numbers are key requirements for this field of work.
Risk Management
Employees in the field of risk management are not only in charge of quantitative controlling functions, they are also responsible for the strategic development of methods and systems for measuring and mitigating market risks. They work in close cooperation with fund management. Along with a university degree, this field of works requires keen interest in securities and outstanding mathematical and analytical abilities.
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