Senior Quant Analyst Fund Operations | Risk & Performance

coni+partner AG

Zürich

Vor Ort

Vertraulich

Vollzeit

vor 37 Stunden
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Zusammenfassung

coni + partner, Zurich-based consultancy, is seeking a Senior Quant Analyst Fund Operations for an international bank in Zurich. You will own risk and performance analysis across multi-asset classes and produce insights for executives and investors.

You will develop performance models, maintain data processes, and implement updated risk tools using Python, SQL, Excel, and market data sources such as Bloomberg, Reuters or Morningstar.

Qualifikationen

  • Strong academic background in a quantitative discipline.
  • Experience in a quantitative analytics team in asset management or Big 4 with fund mandates.
  • Familiarity with a broad range of investment instruments and risk concepts.
  • Proficiency in Python, SQL and Excel; English fluent; German a plus.

Aufgaben

  • Perform risk and performance analyses across multiple asset classes.
  • Generate regular reports for executive management and investors.
  • Develop performance models for investment portfolios.
  • Maintain data extraction/upload processes and data quality.
  • Develop updated risk models and data-driven insights.
  • Provide recommendations based on evaluations for internal/external stakeholders.

Kenntnisse

Quantitative analysis
Python
SQL
Excel
Risk modeling
Communication skills
Team collaboration
English fluency
German language

Ausbildung

Quantitative discipline

Tools

Bloomberg
Reuters
Morningstar
Risk Metrics
Excel

Jobbeschreibung

coni + partner, established 1993, is a consultancy company with headquarters in Zurich and subsidiaries in Düsseldorf and Shanghai. We are specialised in custom-fit staffing in tune with the corporate culture by ensuring a perfect match of professional skills, references and personal as well as social skills of successful candidates.

Our client is the asset management an international bank in Zurich. We are searching for a senior specialist (m, f, d) as

Senior Quant Analyst Fund Operations | Risk & Performance

Aufgaben

Responsible for risk and performance analyses, as well as for regularly updated reports on a wide range of asset classes of the bank's asset management for executive management and investors / Identify and quantify risk across the entire spectrum of financial instruments, securities, funds, funds of funds, including alternative investments, and generate various insights through analysis for the senior management and investors in a timely manner / Developing performance models for a range of specific investment portfolios / Using of software that enables automated access to financial information such as Bloomberg, Morningstar, Reuters, etc. / Maintaining databases for data analysis and processes for extracting and uploading data and static data / Developing and implementing updated risk models for assessing risks as well as quantitative tools providing data-driven insights / Calculating the performance of complex investment products or portfolio management strategies using specific formulas, depending on whether the investment is in a public market fund or private equity / Ongoing review of the quality and compliance of risk and performance data, as well as contributing to high quality and robustness of reporting / Creating recommendations based on evaluations and reports for internal and external stakeholders / Contributing to best practices in the department regarding tools, methodologies, processes and infrastructure.

Qualifikation

Strong academic background in a quantitative discipline / CAIA or CFA as an advantage but not mandatory / Experience in a quantitative analytics team of an international asset manager or in a Big 4 company with mandates in the fund industry / Familiarity with a broad range of investment instruments / A strong background in quantitative analysis and model development / Familiarity with quantitative risk concepts or performance measurement / Advanced knowledge in Python, SQL, and Excel / Experience with, e.g., Bloomberg, Reuters, Morningstar, or Risk Metrix is required / An analytical mindset with a keen eye for detail / A team-oriented approach and a strong understanding of how to interact with people at different levels of the organization / Excellent communication skills / Fluency in English; knowledge of German is a plus.

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