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Quantitative Risk Analyst
4 months ago
Quantitative Risk Analyst – Hedge fund – Oxford
Apply fast, check the full description by scrolling below to find out the full requirements for this role.
Quantitative Risk Analyst is required for exciting and innovative Hedge Fund based in Oxford. The successful Quantitative Risk Analyst will be joining a group of top class analysts in the risk management team.
You will have a keen interest in systematically quantifying risk and explaining market dynamics, taking ideas from specification through to implementation in the existing Python-based risk reporting systems. These risk models and analytics will be applied to company’s many investment strategies, operating on a global basis. You will be utilising large and complex data sets, while working in a collaborative, open and friendly team, and receive excellent compensation and benefits.
Responsibilities
· Understand and enhance existing risk models, scenario testing methodologies, and related analytics over a range of asset classes.
· Work closely with the research and investment team, quantifying market risks and suggesting mitigation strategies.
· Automate bespoke reports and visualisations.
· Manage daily risk control processes and conduct quantitative data investigations.
Requirements
· Degree in a relevant quantitative field such as Mathematics, Engineering and Physics.
· Familiarity with financial instruments and their risk metrics
· Excellent skills at Python and associated scientific and visualisation libraries.
Beneficial
· Experience working in finance or with financial data.
· Familiarity with C++, Linux