
Risk Quants Associate
2 weeks ago
Our people work differently depending on their jobs and needs. From hybrid working to flexible hours, we have plenty of options that help our people to thrive.
This role is based in India and as such all normal working days must be carried out in India.
**Job description**:
Join us as a Risk Quants Associate
- This is a great opportunity for someone with experience in a quantitative role to join our Risk function
- You’ll be working closely with quantitative analysts across asset classes to identify and assess diffusion models and pricer approximations
- This role will provide you with a platform to keep building your knowledge and expertise, and offers you great exposure for you and your work
- We're offering this role at associate level
**What you'll do**:
As a Risk Quants Associate, you’ll be supporting a team of quantitative analysts and technical specialists, providing quantitative and technical mentoring. This key role will also see you providing model, pricing and functional specifications of the models for the various asset classes, and for the subsequent validation by risk analytics.
Day-to-day, you’ll also be:
- Providing a phased delivery of the simulation models and pricer prototypes
- Producing model documentation to be delivered to the PRA for internal review
- Advising senior management on and actively managing a project’s non-delivery risk
- Making sure that adequate documentation is produced for governance
- Assisting our IT department in implementing the models, and overseeing the implementation of the functional specifications back-testing against the prototypes
**The skills you'll need**:
We’re looking for someone with significant experience in a quantitative role of specified asset classes, including credit valuation adjustments, expected positive exposure, building valuation models, optimising pricing routines and computing efficiency.
You’ll also demonstrate:
- Exceptional Problem-Solving Skills. Ability to approach complex challenges with analytical rigor and creativity.
- Strong Quantitative and Statistical Expertise. Solid foundation in probability theory, statistics, calculus and data analysis techniques.
- Proficient Programming Skills.Python or similar languages for data analysis and model development.
- Financial and Risk Acumen.Good understanding of financial instruments and core risk concepts.
- Attention to Detail. Careful and thorough approach to data, models, and documentation, ensuring accuracy and reliability in all aspects of analysis.
- Effective Communication. Ability to explain technical concepts effectively to both technical and non-technical audiences.
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