Nivel cariera

Middle (2-5 ani), Senior (5-10 ani)

Limbi vorbite

engleză

Adresa/ adresele jobului

București


Job description:

  • Develop, test and support quality models in a timely manner
  • Assist in the development of analytical methods using statistical tools and understanding of models and markets
  • Evaluate, acquire, integrate, test, implement and support solutions where appropriate
  • Interpret and apply results gained using a variety of techniques such as: simple data aggregation, data attribution, and statistical analysis
  • The main deliverables involve the creation of computer-based models that seek to predict the movements of worldwide financial markets.

 Required skills: 

  • Masters degree from a leading university and . degree from the top universities in Romania, US, (or other leading universities in the world) in a quantitative discipline (mathematics, financial engineering, statistics, computer science, physics or any other related field that is highly analytical and quantitative)
  • PhD program is a big plus
  • Have a research scientist mindset: be a deep thinker, creative, persevering, smart, a self-starter, etc.;
  • Be competent in a programming language (Python, R, Matlab). Good Python knowledge is a big plus;
  • Possess good English language skills;
  • Candidates need not have prior knowledge of financial markets, but must have a strong interest in learning about stock markets and financial markets (financial instruments and transactions including futures, options, swaps, fixed income derivatives);
  • Can work and collaborate as part of a team;
  • Have impeccable work ethic.

 We offer:

  • Competitive compensation package, in accordance with experience and knowledge gained
  • Challenging career development options in a very innovative market
  • Exciting new career in a dynamic, growing organization
  • Good job perspective for the future
  • Dynamic, professional, flexible and friendly work environment
  • New and modern fitted office in Bucharest