This position requires a PhD in Statistics, Finance, Mathematics, Management Science and Engineering, or related field or foreign equivalent, plus 1 year of experience in financial data analysis, or a masters degree in Statistics, Finance, Mathematics, Management Science and Engineering, or related field or foreign equivalent, plus 2 years of experience in financial data analysis. Additionally, the applicant must have coursework or professional experience with 1 C and Python in a Linux setting; 2 Developing machine learning algorithm; 3 Solving probability, linear algebra, and abstract algebra problems within a finance setting; and 4 Using statistical methods within a financial setting. Employer will accept any suitable combination of education, training, or experience.
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