Quantitative Analyst (Remote)

Rainbook Holdings, Inc.

Atlanta (GA)

Remote

USD 60,000 - 100,000

Full time

14 days+

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Job summary

An innovative firm is seeking a Quantitative Analyst to enhance their proprietary Advisor Analyzer tool. This role involves deep dives into portfolio analytics and fund analysis, focusing on exposure aggregation, performance metrics, and risk assessments. The ideal candidate will leverage their programming skills and analytical expertise to ensure data integrity and provide valuable insights into financial advisors. Join a forward-thinking company dedicated to empowering investors with unbiased evaluations and personalized advisor connections. If you are passionate about finance and analytics, this opportunity is perfect for you.

Qualifications

  • Bachelor's degree in Finance, Mathematics, Computer Science, or related field.
  • 2+ years of programming experience in relevant analytics.

Responsibilities

  • Conduct portfolio analytics and fund analysis for investment strategies.
  • Perform data integrity testing to ensure accurate financial evaluations.

Skills

Portfolio Analytics
Data Integrity Testing
Programming
Risk Assessment

Education

Bachelor's Degree in Finance
Bachelor's Degree in Mathematics
Bachelor's Degree in Computer Science

Job description

Rainbookprovides investors with an unbiased review of their financial advisor. After clients connect their account and answer a few questions, Rainbook's Advisor Analyzer generates the Advisor Score. Looking at six factors, clients are now able to understand the strengths and weaknesses of their advisor relationship. Investors can use this information to strengthen their relationship or choose to be matched with a new advisor on the Rainbook Advisor Network.
We are evolving our proprietary Advisor Analyzer which evaluates financial advisors on behalf of investors.
Responsibilities:
The Quantitative Analyst role will dive deep into portfolio analytics and Fund Analysis while also conducting data integrity testing.
Portfolio Analytics includes, but not limited to: Exposure Aggregation, Performance, Risk Assessment.
Fund Analysis includes, but not limited to: Deep dive on ETFs and Mutual Funds data.
Requirements:
  • Bachelor's Degree in Finance, Mathematics, Computer Science or related academic degree
  • 2+ years programming experience
  • Experience working with portfolio analytics solutions
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