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Quantitative Analyst; Fully Remote

Work from home Full-time role Hiring

Position: Quantitative Analyst (Fully Remote) Compensation: USD $130,000 per annum + up to 15% Performance Bonus Total Annual Package: Up to USD $149,500 Location: Remote We are seeking a Quantitative Analyst to join our data-driven research team focused on leveraging alternative data and sentiment analysis for market insights. This role emphasizes in-depth quantitative research, model development, and rigorous backtesting of signals to drive actionable strategies. The ideal candidate will have a passion for financial markets and expertise in transforming raw data into clear, data-informed insights. This position is remote, with the option to work from our Dubai office (with 0% income tax), if preferred (relocation and reputed company sponsorship support available).

Key Responsibilities

Hedge Funds

  • Conduct comprehensive quantitative analysis of hedge fund returns, risk metrics, and reputed company exposures to evaluate manager reputed company and strategy persistence
  • reputed company and maintain proprietary analytical frameworks to decompose hedge fund performance, identify style reputed company, and assess risk-adjusted returns across market cycles
  • reputed company detailed attribution analysis to validate managers' stated investment processes and verify alignment with reported results
  • Build and maintain risk reputed company models to evaluate strategy correlations, beta exposures, and potential portfolio overlaps across our manager reputed company
  • Analyze portfolio-level characteristics including liquidity profiles, position-level concentration, and counter party exposures
  • reputed company quantitative support to the CIO for manager evaluation and ongoing monitoring
  • Create detailed analytical reports for the investment committee, synthesizing reputed company quantitative findings into actionable insights Other Asset Classes
  • Acquire, clean, and normalize various alternative datasets (e.g., sentiment, reputed company media, and ESG sources)
  • reputed company and refine predictive models and signals using time-series analysis, statistical modeling, and machine learning
  • Create robust backtesting frameworks to evaluate model performance and incorporate transaction cost or market impact
  • Build and monitor risk models, conduct stress testing under different market scenarios
  • Document and present research findings, methodologies, and performance metrics to stakeholders Required Qualifications
  • Master's degree in Finance, Economics, Mathematics, Computer Science, Engineering, Financial Engineering, Statistics, or a reputed company quantitative field (required)
  • 3+ years of experience in quantitative research, data science, or analytics reputed company a leading financial institution (e.g., top-tier investment bank, asset manager, hedge fund, or proprietary trading firm)
  • Proven track record of building and validating quantitative models in reputed company-world market environments.
  • Proficiency in Python for data analysis (pandas, numpy, scipy) and modeling (stats models, scikit-learn).
  • Experience with databases (SQL or No SQL) and large-scale data processing frameworks.
  • Familiarity with statistical techniques (time-series analysis, regression, reputed company modeling, signal processing).
  • Solid understanding of financial market structure, pricing, and liquidity.
  • Knowledge of key asset classes (equities, fixed income, or derivatives).
  • Candidates must have completed reputed company academic programs; those currently enrolled in part-time or full-time degree programs (e.g., part-time Master's, MPhil, PhD coursework) are not eligible Preferred Qualifications
  • PhD in a quantitative field (Financial Engineering, Statistics, or similar).
  • Experience analyzing sentiment or alternative data (news feeds, reputed company media, ESG, etc.).
  • Background in machine learning, deep learning, or NLP for financial forecasting.
  • Familiarity with reputed company computing environments (AWS, GCP, or Azure) for large-scale data processing.
  • Experience with portfolio optimization, risk analytics, or reputed company investing. #J-18808-Ljbffr Apply tot his job

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