Quantitative Analyst
18 hours ago
**KEY ACCOUNTABILITIES
This is an important role in a fast-growing strategic capability with a number of key responsibilities, including:
- Research and development of new index strategies and beta solutions and improvements to existing solutions, including data validation, data exploration, programming, analysis and presenting results
- Day-to-day monitoring and management of selected portfolios (e.g. portfolio rebalancing, monitoring dividends, investment decisions around cash flows, corporate actions etc)
- Portfolio construction, exposure management and trade order implementation
- Investment and portfolio risk analysis, monitoring and management
- Corporate action, index rebalancing and capital market strategies and research
- Participate and contribute in team research projects and present updates and findings in regular internal forums
- Contribute to the ongoing development of the portfolio implementation platform and capabilities
- Collaborate with data and infrastructure team members to ensure tools and data sets used for the research and implementation of beta solutions are robust, version controlled and consistent with best practice
**EXPERIENCE / QUALIFICATIONS
Some exposure to fixed income quantitative portfolio management or research experience would be an advantage.
**ATTRIBUTES**:
- Passion for financial markets and interest in quantitative/ systematic investment strategies
- Excellent quantitative and numerical skills
- Mature, good interpersonal skills and articulate, with an ability to communicate, facilitate and present effectively
- Open to challenge and debate and able to work well in a small cohesive team, but also take initiative and work autonomously when required
- Result-orientated and solution-focused, but also Intellectually curious and creative
- Hands-on with keen attention to detail
- Resourceful, flexible and able to adapt and respond in a rapidly changing environment
**EDUCATION/ QUALIFICATIONS**:
- Good understanding of applied statistics, including distributions, regression and statistical testing
- Good programming ability, particularly in R, SQL, Python
- Some experience using financial information systems (eg. Bloomberg, Eikon) an advantage
- Some familiarity with Aladdin tools (eg. PfC, PfM) an advantage
- CFA an advantage
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