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Quantitative Risk Manager

Quantitative Risk Manager

iQuant Solutions LtdLondon, England, United Kingdom
5 days ago
Job type
  • Full-time
Job description

Your mission

  • Development and maintenance of the internal fund data management and risk system
  • Understanding financial and regulatory risk models such as volatility, asset pricing, stress testing, etc.
  • Deep understanding of financial instruments such as bonds, options, swaps (IRS & CDS), swaptions, etc.
  • Able to develop and debug production-grade code in Python and MySQL
  • Ability to work on complex client queries and has a problem-solving mindset
  • Track and communicate issues to the Relationship Management Team
  • Support with the creation of documentation, guidelines, and implementation of regulation changes

Your profile

  • Quantitative education and minimum 7 years of professional experience in a quant or risk role
  • Solid understanding of the asset management industry, asset pricing, and risk models
  • Proficient in Excel, Python, and MySQL is a must
  • Client-focused, fast learning and problem-solving personality
  • Strong interest in the asset management industry
  • Strong analytical and communication skills
  • English is a must, other languages are a plus
  • Why us?

  • Opportunity to join a dynamic entrepreneurial team committed to a common mission and an open mind for new ideas and methodologies
  • Training and education initiatives to enhance personal and professional development
  • Possibility to work from home
  • Competitive compensation
  • Flexible working environment
  • Intensive onboarding training and mentoring
  • Team-building and off-site events
  • Clear communication throughout the company
  • iQuant Solutions is an equal opportunity employer
  • J-18808-Ljbffr

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    Risk Manager • London, England, United Kingdom

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