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Quantitative Analyst - Multibillion Dollar Hedge Fund (3Bn+ USD AUM) - Excellent Salary and Bonus on Offer!

Strachan Clark Hong Kong
Mise en ligne il y a 1 jour CDI HK$50k - HK$100k
N
Mise en ligne par
Nicholas Strachan
Recruiter
Multibillion Dollar Hedge Fund in Hong Kong seeking to add Quantitative Analyst to their fast-growing team. You will report directly to the CIO and will work in a fast-paced, dynamic environment. The successful candidate will be welcomed with an attractive package as well as an exceptional opportunity to grow rapidly alongside this burgeoning business. This is an exciting opportunity to work in a growing and progressive company that is expanding their Investment Management departments in order to support the front-office activities of the firm. You will have the opportunity to implement your strategy and have discretion.

Responsibilities

  • Work on various research projects, including the design of predictive signals and the enhancement of algorithms for prediction, trade execution, next generation in-house analytics, portfolio construction and risk management
  • You will significantly contribute to the success efforts of a quantitative trading business, and to enhance data offering and systems
  • Develop and maintain the in-house pricing libraries to support trading in Fixed Income
  • Maintain, enhance and produce high quality data for portfolio modelling and risk management
  • Improve procedures, technology and databases for the prompt delivery of data
  • Build team's data and quantitative infrastructure
  • Develop models to generate trade ideas
  • Process and analyse investment data
  • Communicate feedback to Investment Analysts and Portfolio Managers

Requirements:

  • 5-12+ years working experience (multiple roles open at mid to senior levels)
  • Master's or PhD holder in Engineering Finance, Science, or other related Quantitative disciplines
  • Strong analytical and programming skills
  • Proficiency in written and spoken English
  • Work closely with the PM to develop fixed-income pricing and risk analytics for in-house pricing library, as well as pre-trade analysis tools or Portfolio Managers
  • Experience in Fixed Income/ Credit / Bonds advantageous
  • Strong analytical and mathematical skills
  • Strong problem solving capabilities
  • Detail oriented, organized, demonstrating thoroughness and strong ownership of work
  • Previous experience working for a buy-side or sell-side organisation, or FinTech firm
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