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Quantitative Investment Strategist

1 month ago


London, Greater London, United Kingdom Eka Finance Full time
Role Overview

This role offers exciting challenges and opportunities to make a real impact at Eka Finance. As a member of the quantitative investment strategies team, you will manage derivative overlays and contribute to related portfolio management and trading activities.

Key Responsibilities
  • Manage derivative overlays and contribute to portfolio management and trading activities
  • Collaborate with a close-knit team of portfolio managers and traders across various asset classes
  • Apply expertise in data analysis and statistics to quantitative investment strategies that use derivatives
Requirements
  • Master's degree or higher from a tier-1 university with knowledge of econometrics, statistics, or applied mathematics
  • Strong statistics/econometrics skills are essential
  • Experience working with derivatives
  • Knowledge of Python
  • Knowledge of Bloomberg is a plus
  • Experience and knowledge of trade execution is highly desirable
  • Experience with Risk Premia and index structuring is highly desirable
  • LDI experience is a plus
  • At least two years of experience working with data or financial models in the private sector or academic research
  • Understanding of systematic investment strategies and portfolio management
  • Strong communication skills to liaise with brokers and bank sales
What We Offer

As a member of our team, you will have the opportunity to work with and learn from a team of experienced portfolio managers and traders. You will also have access to a wide range of resources and tools to support your work.