Requirements :
- Experience in a quantitative or financial domain such as equity research, credit research, investment management, risk management, or analytics.
- Bachelor's degree in a quantitative, financial discipline, or engineering.
- MBA from a premier institute.
- CFA charter or candidature (at least passed Level II) is preferred.
- Knowledge of institutional investing, modern portfolio theory, and portfolio construction processes.
- Proficiency in at least one programming language (Python, Matlab, R or C#). and SQL
- Excellent documentation habits, oral and written communication and presentation skills including ability to distil complex ideas into simple explanations.
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