Senior Quantitative Analyst
2 settimane fa
We're a leading provider of trading and workflow automation solutions, high-value analytics, and strategic consulting to corporations, financial institutions, central banks, and governments.
Our solutions are used by over 40% of the world's largest companies, and we've achieved tremendous growth by bringing together some of the best and most successful financial technology companies in the world.
We offer careers that provide many opportunities: to invent, to design, to collaborate, to build, and to transform businesses and empower people around the world to do more, faster, and better than before.
Imagine what you can do and experience. This is where you can do your best work.
Your Role:
Your key duties and responsibilities include:
- Performing quantitative analysis using statistical techniques
- Developing and reviewing credit risk models under Basel pillar I: PD, LGD, EAD
- Conducting database analysis (descriptive statistics - i.e. distribution analysis, mean, variance, etc.)
- Developing statistical models (inferential statistics: regression analysis, discriminant analysis, etc.)
Requirements:
We're looking for a highly skilled and experienced professional with a Master's degree in a quantitative discipline such as Quantitative Finance, Mathematics, or Statistics. You should have at least three to five years of credit risk management experience, ideally gained within specialized consulting companies or top-tier banking or financial institutions.
You should have excellent knowledge of contemporary statistical techniques and practices in credit risk modelling, as well as excellent knowledge of the Italian and English language. You should also have excellent knowledge of Ms Excel and PowerPoint, and excellent knowledge of software for statistical analysis such as SAS, Python, or R.
Location:
Milan
Important Notes:
According to the Italian Law (L.68/99), please note that candidates from the disability list will be given priority.
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