Quantitative Model Developer

2 weeks ago


Bangalore, India Expand My Business Full time

馃摚 Job Description :



Key Responsibilities

  • Developing quantitative models for generating alpha in equity portfolios to achieve superior returns in the mid to long-term
  • Creating risk models and optimal trade execution models
  • Designing and implementing back-testing infrastructure for strategies, performance tracking, and monitoring mechanisms for signal performances and assessing slippages in the model
  • Developing and maintaining a database of multiple datasets from various vendors, creating automated update and monitoring jobs, and checking for flagging anomalies
  • Designing website scrapers to procure custom datasets for research purposes
  • Creating an analytics framework to aid fundamental research and a data visualization toolkit for enhancing the ease of extracting insights and locating value
  • Developing interactive dashboards for assessing and enhancing the performance of portfolios across the fund


Requirements

  • Bachelor's Degree in Computer Science or a related field
  • 4-5 years of non-internship professional experience in software development
  • Intermediate to advanced programming experience with Python is a must
  • Knowledge of architecture and design patterns, reliability, and scaling of new and current systems
  • Advanced proficiency in at least one modern programming language such as C, C++, Java, or Python
  • Knowledge of professional software engineering practices and best practices for the full software development life cycle
  • Strong UI design skills, distributed systems, and web services design and implementation experience
  • Deep experience in communicating with users, other technical teams, and management to collect requirements, describe software product features, and technical designs


About the Role

The team at Expand My Business has a broad mandate to develop quantitative models for generating alpha in equity portfolios, which can generate superior returns in the mid to long-term. In addition to these, the team is expected to develop risk models and optimal trade execution models.




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