Checking job availability...
Original
Simplified
- Work closely with portfolio management and risk teams to develop practical, rapid solutions, moving from prototype to production.
- Automate the retrieval and analysis of data, integrating both internal and external market sources into diverse formats.
- Design and implement data visualisations and interfaces to present data trends and optimise work flows.
- Work closely with different teams to understand requirements, monitor delivery progress, and manage stakeholder expectations.
- Advanced degree in Computer Science, Quantitative Finance, or a closely related technical field.
- Familiarity with financial markets (rates, FX, credit).
- Strong foundation in financial mathematics, modelling, or statistics.
- 3+ years of experience with Python/Java/C++
- Work closely with portfolio management and risk teams to develop practical, rapid solutions, moving from prototype to production.
- Automate the retrieval and analysis of data, integrating both internal and external market sources into diverse formats.
- Design and implement data visualisations and interfaces to present data trends and optimise work flows.
- Work closely with different teams to understand requirements, monitor delivery progress, and manage stakeholder expectations.
- Advanced degree in Computer Science, Quantitative Finance, or a closely related technical field.
- Familiarity with financial markets (rates, FX, credit).
- Strong foundation in financial mathematics, modelling, or statistics.
- 3+ years of experience with Python/Java/C++