Job offer
Quantitative Investment Manager
As a Quantitative Investment Manager, you will develop and manage quantitative investment solutions and ensure the production of regulatory reports. You will also have the opportunity to contribute to the development of the bank's Asset Management & Advisory department.
Job description: Quantitative Investment Manager
Tasks
- Vous proposerez de nouvelles idées d'investissements pour enrichir l'offre de produit de l'Asset Management (fonds, certificats, notes...).
- You will participate in all aspects related to the development of methodologies and the management of investment products (trading and compliance with regulatory limits).
- Vous développerez des tools d'analyses quantitatives et statistiques afin d'améliorer les performances des portefeuilles d'investissements.
- Vous utiliserez vos connaissances de programmation afin de contribuer activement au maintien et au développement de l'infrastructure technologique de l'Asset Management.
- Enhance the Asset Management offering by developing new products (funds, certificates, notes, etc.).
- Manage and optimize investment products, ensuring compliance with trading and regulatory limits.
- Develop quantitative and statistical tools to improve portfolios performance.
- Leverage your programming skills to maintain and expand the Asset Management technology infrastructure.
Requirements
- You have received advanced training in the fields of finance/math/information technology.
- Vous possédez une expérience confirmée dans la gestion de portefeuille ou le trading (au moins 5 ans d'expérience).
- Vous avez la capacité à gérer un portefeuille de façon autonome : exécution, analyse des risques, reporting.
- Thanks to your course, you offer a mastery of both data analysis and statistical analysis.
- Vous disposez d'une bonne expérience dans au minins un langage de programmation (Python, C++, etc...).
- Curious and motivated by nature, you will find solutions to complex problems and have a good capacity for analysis.
- In addition, you have a strong sense of initiative to develop the bank's asset management offering.
- Finally, you will prove your qualities by having good linguistic skills in French and English (level C1).
- A university degree in Finance, Mathematics, or IT.
- A proven background in portfolio management or trading (5+ years of experience)
- The ability to independently manage a portfolio, including execution, risk management, and reporting.
- Strong expertise in data analysis and statistical modeling.
- Programming experience in at least one language (Python, C++, etc.).
- A proactive and solution-oriented mindset, with strong analytical skills and a sense of initiative.
- An entrepreneurial mindset to contribute to the growth of the Asset Management offering.
- Fluency in French and English (C1 level).
We offer
- Nous nous réjouissons de découvrir votre candidature.
- We look forward to receiving your application.
Job details