- Janus Henderson Investors (Denver, CO)
- …hear from you! Your opportunity + Assist current Portfolio Managers with the day-to-day management of the CLO portfolio including CLO ETFs and their redeem / create ... with CLO manager due diligence, write-ups, surveillance, monitoring and risk assessment + Assist in the surveillance of the...acute focus on ability to equity raise + Strong modeling skills. Proficient in building and maintaining financial models… more
- Neuberger Berman (New York, NY)
- …on daily portfolio management tasks in the areas of cash management , risk reporting and performance attribution. **Requirements:** + Master's degree ... investing. + Experience developing quantitative models to evaluate the expected return and risk associated with portfolio management decisions is a plus. +… more
- CGI Technologies and Solutions, Inc. (Reston, VA)
- …business analysis and quality assurance, focusing on translating complex trading and risk management requirements into actionable specifications and test cases. ... Agile environment to ensure the accuracy and effectiveness of statistical modeling and analytical software applications. **Required qualifications to be successful… more
- JPMorgan Chase (New York, NY)
- …derivative payoffs. **Job responsibilities** + Develop mathematical models for pricing and risk management of derivative securities within a quantitative library ... Derivatives team is looking for a junior to mid-level quant to focus on exotic products. The objective is...in a front-office quantitative research role. + Knowledge of risk management frameworks and regulatory requirements. JPMorganChase,… more
- Trexquant Investment (Stamford, CT)
- …of strategies, harmonizing with existing investments and asset classes. + Partner with the risk team to establish monitoring and controls for FX specific risk ... profitability and scale of the team's strategies. + Regularly present to senior management to collaborate and align quantitative FX research with overall trading and… more