Quant Developer - Fixed Income Risk- Systematic Quant Fund
other jobs eFinancialCareers
Added before 4 Days
- England,London,City of London
- Full Time, Permanent
- Competitive salary
Job Description:
Our client is a leading tech-driven quant and systematic hedge fund trading with offices across the globe. They leverage deep knowledge in data, research, technology and trading to deliver high-quality returns. This opportunity offers a dynamic and fast-paced environment with excellent scope for career growth.
Now looking for a Quant Developer to join the Risk team in London, responsible for designing and building tools to support risk analysis and reporting for the business. This is a pivotal role, collaborating daily with FI Risk Managers, Traders and Researchers to translate product-specific requirements into tailored solutions.
You’ll be expected to have extensive Fixed Income product knowledge as you’ll build tools to analyze large volumes of market and trade data across bonds, swaps, futures and options. A background in maths would be preferable.
Requirements
*Deep-level knowledge of Fixed Income products and strong grasp of how risk measures apply to FI trading
*5+ years’ development experience with strong coding skills (Python preferred)
*Ability to capture trading and risk requirements and deliver solutions
*Excellent communication skills to act as a bridge between technical and trading teams
Benefits
*Great opportunity to be part of a collaborative, creative environment where you can feel valued for your input
*Competitive salary + generous benefits
*Professional and personal development
*Relaxed, casual culture, with a healthy work-life balance
Whilst we carefully review all applications, to all jobs, due to the high volume of applications we receive it is not possible to respond to those who have not been successful.
Contact
If you think you are a strong match for this job description, please do not hesitate to get in touch!
Amy Gandhi
Tel: +44 (0)
in/amy-gandhi-122b55109
Now looking for a Quant Developer to join the Risk team in London, responsible for designing and building tools to support risk analysis and reporting for the business. This is a pivotal role, collaborating daily with FI Risk Managers, Traders and Researchers to translate product-specific requirements into tailored solutions.
You’ll be expected to have extensive Fixed Income product knowledge as you’ll build tools to analyze large volumes of market and trade data across bonds, swaps, futures and options. A background in maths would be preferable.
Requirements
*Deep-level knowledge of Fixed Income products and strong grasp of how risk measures apply to FI trading
*5+ years’ development experience with strong coding skills (Python preferred)
*Ability to capture trading and risk requirements and deliver solutions
*Excellent communication skills to act as a bridge between technical and trading teams
Benefits
*Great opportunity to be part of a collaborative, creative environment where you can feel valued for your input
*Competitive salary + generous benefits
*Professional and personal development
*Relaxed, casual culture, with a healthy work-life balance
Whilst we carefully review all applications, to all jobs, due to the high volume of applications we receive it is not possible to respond to those who have not been successful.
Contact
If you think you are a strong match for this job description, please do not hesitate to get in touch!
Amy Gandhi
Tel: +44 (0)
in/amy-gandhi-122b55109
Job number 3452067
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