Description

Requirements:

  • 5 years of dev experience in relevant fields
  • Some experience in high performance analytical development in Python in portfolio Risk
  • Some understanding of reference data of capital market assets such as Equity Options/Corp Bonds/Rate futures/ Rate options/Fx Options
  • Ability to work in mid-sized teams
  • Good communication skills

 

Desired Skills:

  • Quartz knowledge
  • Familiarity Python math libraries – such as numpy, scipy, etc.
  • Experience with multi-threaded/multi-processing/multi-tasking application development in Python

Education

Any Graduate