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This role sits within the Central Risk team, which plays a crucial part in optimizing execution and risk across Citi's Equities franchise. As a Quantitative Analyst, you will be responsible for the research, design, implementation, and maintenance of systematic trading components, including our Systematic Internalizer (SI), portfolio optimizer/hedger, as well as analytics, estimators, and signals.
Key Responsibilities:- Develop and implement statistical models and algorithms to optimize trading strategies and risk management
- Collaborate with cross-functional teams to design and implement production-quality code
- Work with large datasets to identify trends and opportunities for improvement
- Communicate complex quantitative concepts to non-technical stakeholders
- Stay up-to-date with industry trends and best practices in quantitative trading and risk management
- Masters or PhD in a scientific, quantitative, or technical field such as Statistics, Computer Science, Mathematics, or Engineering
- Experience in a similar role, ideally within an Equities organization
- Strong analytical mindset, problem-solving attitude, and attention to detail
- Ability to work in a fast-paced environment and adapt to changing priorities
- Highly competitive compensation and benefits packages
- Opportunity to work in a fast-paced, intellectually challenging environment with direct trading impact
- Access to cutting-edge technology and vast datasets readily available for you to make a real difference
- Career growth and professional development opportunities within a leading global financial institution