... MUST HAVE EXCELLENT COMMUNICATION SKILLS, FINANCIAL SERVICES AND PREFER TO SEE ... -based applications for trading, risk management, portfolio management, and regulatory compliance within ...
4 days ago
... : 5 years of experience in financial market risk management and quantitative modelingMaster s degree ... on experience on developing complex financial models.Solid equity production knowledge ...
27 days ago
... financial market risk management and quantitative modeling, SQL, Python, Matlab, complex financial ... years of experience in financial market risk management and quantitative modelingMaster s ... experience on developing complex financial models.Solid equity ...
27 days ago
... a software development roleExperience with legacy financial institutions technology and API integration ... various authoring, CMS, and task management toolsFamiliarity with API documentation tools ...
12 days ago
... :5 years of experience in financial market risk management and quantitative modelling.Master ...
27 days ago
... : 5 years of experience in financial market risk management and quantitative modeling Master ...
27 days ago