Python Developer Internship

Generali Italia SpA

Milano

In loco

EUR 65.000 - 90.000

Tempo pieno

6 giorni fa
Candidati tra i primi

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Descrizione del lavoro

Generali Asset Management is seeking an IT Developer within the Front Office Investment Data Science team in Milan to refactor and potentially improve the code of a quantitative investment strategy used for tactical asset allocation and equity sector allocation.

The role focuses on making the complex, memory-intensive system faster, more versatile, and easier to maintain, with responsibilities including reorganizing workflows, automating slides and data storage, and running testing campaigns.

Competenze

  • Bachelor's Degree in a related field as listed
  • Strong Python back-end development experience
  • Genuine passion for scientific coding and quantitative finance
  • Hands-on experience with financial topics is a plus

Mansioni

  • Refactor and improve the quantitative investment strategy code within the Front Office team
  • Automate the generation of output slides using updated market data
  • Automate the storage and backup of data and historical results
  • Conduct testing campaigns of the methodology on various multi-asset portfolios

Conoscenze

Interpersonal skills
Communication of analytics
Deadline management
Analytical mindset

Formazione

Bachelor's Degree in Computer Engineering
Bachelor's Degree in Computer Science
Bachelor's Degree in Mathematics
Bachelor's Degree in Physics

Strumenti

Python

Descrizione del lavoro

The Investment Data Science team is part of the Generali Asset Management Investment Function. The team develops and coordinates projects and initiatives that leverage data science techniques to enhance investment strategies.

As an IT Developer within the Front Office, the candidate will work, within the Investment Data Science team, on refactoring and potentially improving the code of a quantitative investment strategy currently applied to tactical asset allocation and equity sector allocation.

The current implementation could theoretically be deployed on numerous mark-to-market portfolios, but its complexity, along with high computational and memory demands, limits this potential. The primary task over the next six months is to understand and enhance the code, making it more versatile, faster, and intuitive.

  • Structurally reorganize the code to ensure that the two main workflows (monthly outputs and annual reviews) are testable and free from obsolete implementations
  • Automate the generation of output slides using updated market data
  • Automate the storage and backup of data and historical results
  • Conduct testing campaigns of the methodology on various multi-asset portfolios
Requirements

Our ideal candidate will meet the following requirements:

  • Bachelor's Degree (1stlevel, 3 years) in Computer Engineering, Computer Science, Mathematics, Physics or a related field
  • Proficiency in Python, with proven capabilities in back-end development
  • Genuine passion for scientific coding and a keen interest in quantitative finance
  • Previous hands-on experience with financial topics is a plus
Skills:
  • Strong interpersonal skills and the ability to work effectively in an international team/environment
  • Proven ability to communicate complex analytical concepts to a general audience
  • Flexibility and ability to manage changing deadlines
Company Profile

Generali is a major player in the global insurance industry - a strategic and highly important sector for the growth, development and welfare of modern societies. Over almost 200 years, we have built a multinational Group that is present in more than 60 countries, with 470 companies and nearly 80,000 employees. Our Group aims to become the standard bearer and industry leader in the European retail insurance market, building on our existing base of 50 million retail clients, out of an overall total of 72 million.

Generali Asset Management is a European investment specialist, offering a wide range of active funds and bespoke solutions across both public and private markets. Our investment experience is grounded in a solid heritage, with skills that have been developed and honed over time by managing Generali Group and external clients' assets.

Generali Asset Management S.p.A. guarantees a solid framework of services designed to support various asset management activities. Key elements include the provisioning of IT services over all applications underpinning the investment and asset management value chain (Front Office, Trading Desk, Investment Compliance, Middle and Back Office, Analytics and Reporting, etc.). The company also acts as a holding company, retaining share capital in the boutiques and Generali Investments' companies.

Stage
Investment
Investments
Tag
Finance & Control Functions
Generali Asset Management
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