Must include 3 years of experience in each of the following Trading equity options or exotic derivatives for a trading desk in a bank or an institutional asset manager; Conducting ticklevel stockfuture or option transaction data analysis; Conducting big data analysis and manipulating databases containing multimillion rows and are tens of Gigabytes in size of financial data with programming; Validating and employing quantitative models utilizing scripting language such as Python; Developing backtestor and backtesting systematic trading strategies; and, Performing indepth fundamental, technical and crosssectional analysis of market for various asset classes. In the alternative, the employer will accept a Bachelors degree and 5 years of progressively responsible experience. Any suitable combination of education, training, or experience is acceptable.

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