Bachelors degree, or foreign equivalent, in Business, Finance, Computer Science or related field, plus 5 years of experience in any joboccupationposition in the Financial Services Industry or in a related industry. Additionally, the applicant must have professional experience with 1 Workflows related to investment research, portfolio construction, portfolio management and risk management in the equity and fixed income markets. 2 Agile software development methodologies, sprint planning, sprint refinement, sprint grooming, software testing, change management. 3 Documenting technical business requirements specific to the softwareplatform being developed. 4 Documenting nontechnical business requirement specific to the world of financecapital markets. 5 Programming languages including Java and Python, data structures, relational databases, data flows, process interdependency. 6 Broad array of industry specific data used for investment research and portfolio management, such as fixed income markets, equity markets, industry classification, performance, risk analytics. 7 Extracting data, building reports and data visualization dashboards using tools like Tableau, Jupyter Notebooks, SQL for relational databases.

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