Manulife/John Hancock is offering a two-year graduate placement across the Portfolio Management team, supporting fund analysis, data pipeline management and client service. You will generate portfolio trades via the systematic infrastructure and contribute to risk, ESG and liquidity decisions.
The programme develops quantitative and software skills (Python, SQL, OOP) with exposure to multi-asset credit, production-grade code, and automation initiatives within a global financial services group.
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Graduate Credit Analytics β Multi-Asset Trading employer: Manulife Insurance Malaysia
At Manulife, we pride ourselves on being an exceptional employer, offering a dynamic work environment in London that fosters growth and inclusivity. Our commitment to employee well-being is reflected in our comprehensive benefits package, flexible working arrangements, and a culture that encourages collaboration and innovation. Join us to be part of a global team dedicated to making a positive impact through responsible investment practices and sustainable initiatives.
Contact Details:
Manulife Insurance Malaysia Recruitment Team