Source description
About the role
Master’s degree in Finance, Math, Computer Science, or Machine Learning/AI-oriented discipline.
2+ years plus financial services experience, preferably in Asset Management, Index development, and/or equity research.
Comprehensive understanding of financial mathematics and derivatives
Excellent quantitative skills
Experience with Machine Learning/AI is a strong plus
Proficiency in Python and SQL
Experience working with unstructured datasets a strong plus.
Strong written and verbal communication skills in English
High attention to details
Professional proficiency in one or more European languages (e.g. French, German, Italian) is an advantage.
Familiarity of various industry tools (i.e. Bloomberg, Morningstar) is appreciated