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Senior Quantitative Analyst, Capital Markets

Work from home Full-time role Hiring

Our client is a premier financial institution seeking a highly skilled Senior Quantitative Analyst to join their globally distributed, remote-first team. This pivotal role is responsible for developing and implementing sophisticated mathematical models and statistical analyses to support trading strategies, risk management, and product development within capital markets. The ideal candidate will possess a deep understanding of financial instruments, market dynamics, and advanced programming techniques. As a remote employee, you will collaborate closely with traders, portfolio managers, and other quantitative researchers across different time zones, utilizing cutting-edge communication and collaboration tools. Your responsibilities will include designing, building, testing, and deploying pricing and risk models for a variety of derivatives and fixed-income products. You will also conduct rigorous backtesting and performance analysis of trading algorithms, and contribute to the research and development of new quantitative methodologies. The ability to translate complex financial concepts into clear, concise technical specifications and communicate findings effectively to both technical and non-technical audiences is paramount. This position demands a proactive, results-driven individual with a strong sense of ownership and a passion for quantitative finance. You will be expected to stay abreast of the latest academic research and industry trends, contributing innovative ideas to enhance our quantitative capabilities. The role requires exceptional problem-solving skills and a meticulous attention to detail, ensuring the accuracy and reliability of all developed models and analyses. We are committed to fostering a collaborative and intellectually stimulating remote work environment where talent can thrive and make a significant impact. Key Qualifications: Advanced degree (Master's or Ph.D.) in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, or Financial Engineering. 5+ years of relevant experience in quantitative finance, with a focus on derivatives pricing, risk modeling, or algorithmic trading. Proficiency in programming languages such as Python, C++, or R, with experience in scientific computing libraries. Strong knowledge of financial markets, including equities, fixed income, and derivatives. Experience with statistical modeling, machine learning, and data analysis techniques. Excellent analytical, problem-solving, and communication skills. Demonstrated ability to work independently and collaboratively in a remote setting.

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