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This is a systematic Global Macro Investment team within a world class US fund – they are looking to hire a senior Quant to work in London and face off to their most senior Portfolio Managers and Trading staff. This a new mandate with a direct line into the head their systematic Macro Trading desk. This a highly technical role with huge influence and responsibility for a number of senior stakeholder relationships - you will act as a strategic partner, providing business-critical quantitative analysis and explanations to fundamental PMs and participate in the investment process!
Scientific academic background to master's or PhD level.
Highly quantitative experience – Its likely you'll have been in industry for 10yrs +
Experience within a highly technical, quant driven FI/Equity investment business.
Knowledge of factor modelling, and other risk models.
Knowledge of thinks like - portfolio construction, market impact analysis.
You will also need to code (not to systems build level) in languages such as – Python, R, C++ etc.
Please do get in touch if you would be interested in hearing more about this opportunity.