обновлено 16 часов назад
Senior Credit Quantitative Analyst, Investment Professional
119 000 - 199 000$
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Senior Credit Quantitative Analyst, Investment Professional (Portfolio Analytics/AI): Building reusable quantitative tools, research outputs, dashboards, and decision-support workflows for portfolio construction, asset allocation, security selection, and trading strategies with an accent on credit, fixed income, structured products, and multi-asset analytics. Focus on developing explainable AI-enabled research workflows, scenario and contribution analysis, model governance, monitoring, and reproducible production analytics.
Location: Must reside within 35 miles of One Plaza, Columbus, Ohio 43215; hybrid schedule with 3 days in the office and 2 days remote.
Salary: $119,000–$199,000 annually.
Company
is a Fortune 100 insurance and financial services company with nearly $70 billion in annual sales.
What you will do
- Partner with portfolio managers and analysts to develop analytic views, signals, and tools for investment idea generation and prioritization.
- Support security selection and trade design through fair-value, relative-value, scenario, and contribution analysis.
- Build portfolio construction, sizing, optimization, monitoring, dashboards, and standard analytics capabilities.
- Conduct quantitative research on asset allocation, portfolio construction, and investment strategy questions, packaging results into reusable tools.
- Use approved AI-enabled tools to accelerate research, signal generation, scenario design, monitoring, and reporting while documenting assumptions and limitations.
- Partner with Data, Technology, and front-office teams to move models and analytics from prototypes into stable, repeatable workflows.
Requirements
- Bachelor’s degree in finance, economics, mathematics, statistics, engineering, computer science, or a related quantitative field preferred; an advanced degree and/or CFA is preferred.
- Typically 8 or more years of investment or quantitative experience in portfolio management, research, trading, or analytics.
- Experience in fixed income, credit, structured products, multi-asset allocation, or related investment domains.
- Strong knowledge of portfolio analytics, statistics, econometrics, and quantitative research methods.
- Proficiency in Python and/or R for data analysis, modeling, backtesting, and scenario analysis; familiarity with Databricks is preferred.
- does not provide employer-sponsored work authorization and does not participate in the STEM OPT extension program.
Nice to have
- Experience applying AI/ML or AI-assisted workflow techniques to investment research, portfolio analytics, scenario analysis, or monitoring in a governed environment.
- Advanced degree, CFA, and familiarity with Databricks.
Culture & Benefits
- Individual contributor role reporting to the leader of Investment Analytics.
- Focus on explainable models, human judgment, documentation, reproducibility, testing, and continuous improvement.
- Medical, dental, and vision insurance; life insurance; and short- and long-term disability coverage.
- Paid time off, nine paid holidays, Lifetime paid time off, and Unity Day paid time off.
- 401(k) with company match, company-paid pension plan, and business-casual attire.
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