Minimum Requirements Requires a Masters degree in Finance, Financial Engineering, or a related field, plus 2 years of professional fixed income trading, modelling, and analytics experience in the financial services sector. Must include 2 years of experience with each of the following 1 Python; 2 objectoriented programming; 3 Interest Rate Derivatives; 4 SQL, or similar relational databases; 5 applying statistical models including PCA, advanced regression models, time series analysis, and monte carlo simulations in fixed income markets; 6 building forecasting tools; and 7 alpha research, factor risk model, and portfolio optimization.
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