Quantitative Analyst

5 days ago


London, Greater London, United Kingdom Undisclosed Full time
About the Role

We are seeking a highly skilled Quantitative Analyst to join our team at Undisclosed, a leading global macro hedge fund. As a Quantitative Analyst - Rates Volatility, you will play a key role in developing, optimizing, and implementing quantitative models for trading and risk management in non-linear DM interest rate markets.

Key Responsibilities:

  • Collaborate closely with portfolio managers, strategists, and fellow quants to develop and implement quantitative models for trading and risk management.
  • Build and maintain tools and analytics for non-linear rates/rates volatility.
  • Work with large data sets, time series analysis, and statistical modelling to inform trading and risk management decisions.
  • Develop and maintain strong relationships with portfolio managers and senior stakeholders to effectively communicate quantitative insights.

Requirements:

  • Strong academic background in a quantitative discipline such as mathematics, physics, engineering, or financial engineering (Master's or PhD preferred).
  • 4-7 years' experience as a quant in a hedge fund, investment bank, or proprietary trading firm, with a focus on non-linear rates/rates volatility.
  • Deep understanding of non-linear rates derivatives pricing models and volatility modelling techniques.
  • Proficiency in programming languages such as Python, C++, or MATLAB.
  • Experience with large data sets, time series analysis, and statistical modelling.
  • Strong communication skills to effectively interact with Portfolio Managers and senior stakeholders.

What We Offer:

  • Excellent prospects for growth and development in a meritocratic and collaborative environment.
  • Career optionality and the opportunity to develop a buy-side career.


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