Financial Quantitative Analyst developing mathematical and statistical models for securities investing, risk management, and asset optimization. Conducts research and analysis to inform decision-making and collaborates on quantitative solutions for new markets
Experience
Financial Quantitative Analyst
Where you worked
Month Year to Month Year
Applied mathematical and statistical techniques to address practical issues in finance, including derivative valuation and risk management
Researched and developed analytical tools for portfolio construction, performance measurement, and pricing models
Interpreted results of financial analysis procedures to inform decision-making
Developed core analytical capabilities and model libraries using advanced statistical and econometric techniques
Produced written summary reports of financial research results for stakeholders
Maintained and modified all financial analytic models in use to ensure accuracy and relevance
Collaborated with product development teams to research and implement quantitative structured solutions for new markets
Skills
Checking & Planning
Applying financial mathematical models, Measuring business strategy effectiveness, Assessing services, Analyzing related risks, Analyzing business data