Portfolio Optimization Lead

hace 7 días


Ciudad de México, Ciudad de México MSCI Inc A tiempo completo
Career Opportunities:
As a Quantitative Researcher, you will have the opportunity to grow your career in a dynamic and innovative environment. With multiple directions to progress, you can choose from various roles within the company, such as leadership positions, specialized fields, or hybrid functions that combine different areas of expertise.

Key Responsibilities:
  • Design and implement cutting-edge financial models that drive business success.
  • Collaborate with cross-functional teams to develop and enhance MSCI's Risk and Portfolio optimization solutions.
  • Lead the development and maintenance of automation frameworks for model validation, ensuring the highest level of accuracy and efficiency.
  • Analyzing data, identifying trends, and developing strategies to improve our analytics engine.
  • Developing and extending independent validation tools to ensure accuracy for all numbers produced by our analytics engines.
  • Analyze and extend the analytics regression tests to ensure complete and efficient coverage for all analytics engine statistics and asset types.
  • Work with the Research and Analytics Development teams to evaluate manual and regression test differences, check requirements and extend test case coverage.
  • Ensure that all daily test processes are completed successfully and resolve problems with the assistance of the research and development teams.

Requirements:
  • Bachelor's or master's degree with focus in finance, quantitative finance, financial mathematics, mathematics, physics, statistics, operations research, or another quantitative field is a plus.
  • 3-5 years of experience (finance field or related).
  • Ability to work both independently and as part of a team.
  • Strong motivation to learn about financial markets.
  • Strong technical skills, experience in automated testing is a plus.
  • Strong quantitative, programming, and problem-solving skills.
  • Experience in analytics field, mathematical optimization, securitized product, risk management, or derivatives pricing is a plus.
  • Strong written and oral proficiency in English.
  • Interest in working in an environment that combines finance and technology.
  • Strong sense of ownership with projects.
  • Willing to work in a global team environment.
  • Relevant work experience in model validation is a plus.
  • Experience with a programming language (e.g., Matlab, Python, R, C++, C#).

What We Offer:
  • Transparent compensation schemes and comprehensive employee benefits, tailored to your location, ensuring your financial security, health, and overall wellbeing.
  • Flexible working arrangements, advanced technology, and collaborative workspaces.
  • A culture of high performance and innovation where we experiment with new ideas and take responsibility for achieving results.
  • A global network of talented colleagues, who inspire, support, and share their expertise to innovate and deliver for our clients.
  • Global Orientation program to kickstart your journey, followed by access to our Learning@MSCI platform, LinkedIn Learning Pro, and tailored learning opportunities for ongoing skills development.
  • Multi-directional career paths that offer professional growth and development through new challenges, internal mobility, and expanded roles.
  • We actively nurture an environment that builds a sense of inclusion, belonging, and connection, including eight Employee Resource Groups.


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