Quantitative Analyst
2 weeks ago
Job Title: Quantitative Analyst - Fixed Income Modelling Expert
We are seeking a highly skilled Quantitative Analyst to join our team at Legal & General. As a Quantitative Analyst - Fixed Income Modelling Expert, you will be responsible for developing and enhancing the data and model platform used to support investment, risk, and attribution capabilities.
Key Responsibilities:
- Develop and continually enhance the data and model platform and associated analytics used to support investment, risk, attribution, new business development, and new asset classes.
- Contribute to the development of quantitative fixed income models and associated governance framework to support investment, risk, attribution, and pricing portfolio construction.
- Work with the portfolio management team to deliver robust, relevant, and scalable analytical solutions.
- Build intellectual capital by performing strategic research and analysis that applies the latest financial knowledge to topical issues in the industry.
- Take part in IT systems projects and business process projects that affect the team and related business areas.
- Ensure effective utilisation of enhanced data, analytical, risk engine, and portfolio management capabilities.
- Collaborate with associated teams to ensure new operational/business processes are implemented in the most effective way.
- Support investment analysis relevant to the client balance sheet and the Investment Management Agreement.
- Ensure relevant instruments are priced and analysed in line with market conventions and methods and can be reported on appropriately.
- Evaluate actual and potential collateral use where products are collateralised or margined.
- Ensure that any actions taken with respect to managing client portfolios are in accordance with LGIM's Treating Customers Fairly policy.
Requirements:
- Strong fixed income modelling knowledge including derivatives across credit, rates, and inflation.
- .NET, Python, Matlab, or C# programming experience.
- Good knowledge of risk management practices and practical constraints in implementation.
- Understanding of a broad range of investment management concepts such as efficient frontiers, capital asset pricing model, active vs. index, etc.
- High degree of proficiency with IT including strong programming skills in at least one language.
- Knowledge of the regulatory and legislative landscape as it relates to pension schemes and to de-risking.
- Prior exposure to work involving pension schemes and/or insurance clients.
- Ability to execute quickly on client projects including data gathering and validation.
- Building and maintaining models for pricing, portfolio construction, and portfolio management of derivative strategies designed to hedge risks and enhance returns.
About Us:
Legal & General is a leading financial services organisation with a strong heritage and an exciting future. We're one of the world's largest asset managers, homebuilders, pension providers, and insurers. We strive to be open, mindful, and inclusive, so are always willing to discuss flexible working arrangements and reasonable accommodations for candidates with specific needs.
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