Quantitative Analyst/Researcher, Fixed Income, Asset Management, London - #2114308
eFinancialCareers
Date: 2 weeks ago
City: London
Contract type: Full time
Work schedule: Full day
Responsibilities
- Build and evolve quantitative infrastructure and models to support investment decisions across currencies, fixed income, and derivatives
- Design, enhance and maintain portfolio optimisation and construction tools (e.g. Black-Litterman)
- Develop front-office risk, valuation and performance attribution frameworks
- Migrate legacy Excel/VBA processes to robust, scalable solutions (e.g. MATLAB/SQL/Python)
- Support major institutional presentations with rigorous analysis and clear explanations
- Partner with PMs, system analysts and developers to improve front-office tools and data pipelines
- Produce and present ad hoc quantitative research to portfolio managers and clients
Requirements
- Strong quantitative degree (mathematics, physics, statistics or financial engineering)
- Previous directly relevant experience in a front-office quant or similar role
- Proficiency in two or more of: MATLAB, Python, VBA, JavaScript, SQL/database design
- Experience delivering portfolio optimisation, risk, and performance attribution models
- Practical experience building production-quality code and improving model infrastructure
- Solid understanding of financial markets and fixed income, currencies, and derivatives
- Analytical, detail-focused thinker who reasons from first principles.
- Clear communicator who collaborates well and can work autonomously
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