
Job Description:
- Developing models: Building and improving mathematical models for trading, forecasting, or data processing
- Conducting research: Analysing large datasets to identify trends and insights, and conducting research on financial markets and economic conditions
- Coding Skills: Strong Coding Skills in Python and other languages
- Using unconventional data: Using unconventional data sources to drive innovation
- Translating algorithms: Translating mathematical models into algorithms
- Managing Risk: Building Mathematical Models t help manage risk of a product or strategy
- Predictive Modelling: Building Predictive Model based on historical data on Monte Carlo Modelling
- Pseudo Code: Capability to write Pseudo Code and Python Code to test a mathematical model
- Systems: Good understanding of the Trading Systems and trade execution process to limit latency and slippages
- Market Understanding: Good comprehension of the Financial and Capital Markets
Other Skills:
- Oversee the development and implementation of investment strategies using mathematical and statistical tools
- Good knowledge of AI, ML and LLMs to use the advanced technologies for efficiency and productivity
- Proven skills of exhibiting usage of data sciences, maths or statistics in development or improvement of Investment Strategies
Compliance and Risk Management:
- Ensure the firm's practices comply with SEBI regulations and other relevant legal requirements.
- Identify mathematical and Statistical models for Risk Management of strategies and products
- Implement and monitor internal controls to manage and mitigate risks effectively.
Qualifications:
- Bachelor's degree in Maths, Master Preferred or Pursuing PhD in Maths
- Relevant experience in mathematics, statistics, computer science, or finance preferred
- Proven ability to develop and execute mathematical models in live market strategies
- High ethical standards and a commitment to acting in clients' best interests.
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