Demo

Quantitative Developer

MDA Edge
Jersey, NJ Full Time
POSTED ON 3/6/2025
AVAILABLE BEFORE 7/3/2025
Skills: Financial Market Risk Management and Quantitative Modeling, SQL, Python, MATLAB, Complex Financial Models, VaR methodology.
Your Primary Responsibilities:
  • Research and prototype risk model for newly issued ETFs.
  • Extend the scope for the Hybrid VaR as a benchmark for existing VaR methodology.
  • Assist the NSCC MTM passthrough effort.
  • Facilitate model specification and communication with stakeholders such as Market Risk, and Risk Technology team.
Basic Qualifications:
  • 5 years of experience in financial market risk management and quantitative modeling.
  • Master's degree in quantitative disciplines.
  • Proficient in SQL, any other high level programming languages, such as R, Python, MATLAB, is a plus
  • Hands on experience on developing complex financial models.
  • Solid equity production knowledge, especially ETFs.
  • Detail oriented and team player.
Must have:
  • 5 years of experience in financial market risk management and quantitative modeling.
  • Master's degree in quantitative disciplines.
  • Proficient in SQL, any other high level programming languages, such as R, Python, MATLAB, is a plus
  • Hands on experience on developing complex financial models.
  • Solid equity production knowledge, especially ETFs.
  • Detail oriented and team player.

Salary : $80 - $90

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