Quantitative Analyst

  • Permanent
  • London,

Bruin Financial

Ref: 25076
Bruin are working with a boutique Asset Management firm which provide Fixed Income and Credit ETF investment opportunities to institutional investors across European markets. They are looking for a hands-on and enthusiastic Quantitative Risk Analyst to report to their Chief Investments Officer.

The position will have responsibility for product strategy, including back-testing and analysis of fixed income and credit markets, informing the launch of new products and the optimization of existing ones. It will also be responsible for day-to-day risk management of the strategies. This is a hands-on role, where candidates will be expected to code on a daily basis in Python and SQL, and also to work with sales teams on analytical support for new product offerings.

Candidates must have a minimum of 4 years experience working in a Quant role, strong capabilities in Python and SQL, and a good understanding of Fixed Income/Credit products and their derivatives (technical knowledge will be tested at interview). 

For more information please email tim.holbrough@bruinfinancial.com. Candidates must have full working rights in the UK as sponsorship cannot be offered for this role.

Bruin recognises the positive value of diversity, and aims to promote equality and challenge unfair discrimination. As a champion of equal opportunity employment we welcome applications from all suitably qualified persons – men and women, people of all ages, sexual orientations, nationalities, religions and beliefs. We particularly encourage applications from women, disabled, and Black, Asian and minority ethnic candidates as these groups are underrepresented throughout the financial services industry. Our clients work with us because they value a diverse workforce, and subscribe to our shared principle that all appointments are made on merit and that ability to perform the job will be the primary consideration.

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