Quantitative Markets Trading & Research Analyst Program

JPMorgan Chase & Co.

Singapore

On-site

SGD 90,000 - 120,000

Full time

7 days ago
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Job summary

JPMorgan Chase & Co. in Singapore is seeking an associate in Quantitative Trading & Research (QTR) to gain exposure across Derivatives Pricing, Risk Management, and Electronic Execution, leveraging machine learning to drive innovation in trading analytics.

You will partner with traders and risk managers across regions to enhance sales, client interaction, and strategy development, while building pricing, hedging, and risk models for derivative securities and inventory management.

Qualifications

  • Expected graduation beyond December 2027.
  • Pursuing a Master's in a quantitative field (e.g., Mathematics, Physics, Engineering, CS).
  • Proficiency in at least one programming language and strong quantitative skills.

Responsibilities

  • Exposure across Derivatives Pricing, Risk Management & Electronic Execution and Systematic, Data-Driven Trading Analytics teams.
  • Collaborate with traders and risk managers to promote sales, client interaction, product innovation, valuation, and risk management.
  • Develop and implement mathematical models for pricing, hedging, and risk of derivatives; support algorithmic strategies and inventory management.
  • Explain model behavior, perform scenario analyses, and deliver quantitative tools for production systems.
  • Apply machine learning to enhance sales, client engagement, risk management, and market making.

Skills

Python
Java
JavaScript
C++
C#

Education

Master's degree in quantitative field

Job description

JPMorgan Chase & Co. in Singapore is seeking an associate in Quantitative Trading & Research (QTR) to gain exposure across Derivatives Pricing, Risk Management, and Electronic Execution, leveraging machine learning to drive innovation in trading analytics.

You will partner with traders and risk managers across regions to enhance sales, client interaction, and strategy development, while building pricing, hedging, and risk models for derivative securities and inventory management.

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