? Knowledge of an extensive range of financial instruments, asset classes, and policies ? Strong ability to evaluate audits and budgets which are related to business ? Problem solving skills to resolve difficulties ? Demonstrated ability to assess, evaluate and query portfolio dynamics, from investment policies to person investment ideas ? Knowledge of Modern Portfolio Risk Theory (VaR) ? Asset allocation, and a strong understanding of portfolio management ? Stock Pricing Model (Forecasting) ? Markowitz Portfolio Model ? Portfolio Optimization Method