As ain our, you will spend each day defining, refining and delivering set goals for our firm.
Job Responsibilities:
- Focus on automation and process improvement within the portfolio management and credit risk functions.
- Develop and maintain portfolio management tools in Python.
- Work closely with Portfolio managers to develop proprietary portfolio construction, optimization and governance tools.
- Collaborate with risk management team to focus on automation and workflow efficiencies within the existing risk products and processes.
- Focus on development of start of day reports, analytical tools, trade ideas for the investment desk.
- Develop web based front end solutions for Python back end processes.
- Provide day-to-day support to Portfolio Managers, including data aggregation, analytics, and ad-hoc reports.
Required qualifications, capabilities and skills:
- Minimum 4 years of experience in Investment Management Industry.
- Strong programming experience in Python- Front end web development including Javascript & data visualization solutions like Tableau etc.
- Strong understanding of Fixed Income products and markets
- Strong quantitative and analytical skills, with focus on statistical analysis, mathematical solvers/optimizers or other investment related analysis (including data analysis and ability to understand data flows).
- Proficient in MS Office (Excel, Word, PowerPoint) ; VBA coding .
- Ability to multi-task and manage priorities and time effectively.
- Self-starter and ability to work both independently and as a team player.
Preferred qualifications, capabilities and skills:
- Engineer with post graduation and candidate who have completed CFA Level 2 or FRM would be preferred