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The role will be responsible for developing impactful quantitative solutions for their clients across the region. The role will need to work with different stakeholders to provide analytical capabilities across equity, fixed income and alternatives asset classes. The incumbent should understand the portfolio construction, investment and trading strategies, regulatory requirements as well as asset allocation to manage the different quantitative strategies.
To be considered for this critical role, you will need to demonstrate:
At least 6 years of experience in technology and consulting for financial institutions AND/OR fund management industry
Extensive knowledge of cross asset classes such as equity, fixed income or alternatives
Strong communication skills, analytical and strategic thinking
Knowledge of various analytical tools/systems will be advantageous
To apply, please email your resume to email@example.com