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Develop portfolio optimisation models and systematic investment strategies
Build reproducible simulations for proposed models and strategies
Develop software for R&D purposes and prototyping
Conduct empirical analysis and modelling on financial data to develop actionable insights
Close collaboration with a cross functional team of developers on all parts of the product development lifecycle
Support the team in operations workflow
No more than 3 years working experience is needed for this position
PhD holders are highly preferred - with an excellent mathematical background with applications in finance
Hands-on experience analysing complex data and building statistical models, Machine Learning skills and experience particularly favoured
Proficient in C#, C++ as well as some scripting languages such as R, Python and PowerShell
Evident interest in portfolio construction and systematic investment strategies
Ability to communicate technical content to an audience with varied backgrounds
CFA or progress towards CFA is desirable
Fluency in English, Cantonese and/or Mandarin will be nice to have
Xpand your job search in the right direction by applying via the links provided. If you have any difficulties doing so, you may also call Philip on +852 3579 4656 or email to firstname.lastname@example.org #LI-PQ1