Quantitative Finance Manager Job Description
Quantitative Finance Manager Duties & Responsibilities
To write an effective quantitative finance manager job description, begin by listing detailed duties, responsibilities and expectations. We have included quantitative finance manager job description templates that you can modify and use.
Sample responsibilities for this position include:
Quantitative Finance Manager Qualifications
Qualifications for a job description may include education, certification, and experience.
Education for Quantitative Finance Manager
Typically a job would require a certain level of education.
Employers hiring for the quantitative finance manager job most commonly would prefer for their future employee to have a relevant degree such as Master's and Bachelor's Degree in Statistics, Finance, Physics, Mathematics, Economics, Education, Math, Engineering, Quantitative Finance, Industrial Engineering
Skills for Quantitative Finance Manager
Desired skills for quantitative finance manager include:
Desired experience for quantitative finance manager includes:
Quantitative Finance Manager Examples
Quantitative Finance Manager Job Description
- Run multiple economic scenarios based on stress-factors
- Used to challenge status quo in a proactive and effective manner
- Can do’ attitude that translates into pragmatic solutions
- Ability to lead execution of projects and work with other teams
- Lead efforts in development and execution of consumer risk models, analytic processes or system approaches
- Independently conduct quantitative analytics and complex modeling projects
- 3+ years of managing quantitative teams
- Documentation using Microsoft Office products and LaTeX
- Up-to-date knowledge of industry trends and developments, consumer lending, and an understanding of sound risk management principles
- PhD or Master's degree in quantitative fields such as statistics, financial engineering, physics, mathematics, computer science, etc
- In-depth understanding of standard market and counterparty risk measurement models
- Advanced programming skills in Python, C++
Quantitative Finance Manager Job Description
- Strong academic background in econometrics or statistics (M.S
- Strong skills/intuition in Economics and Finance
- Experience with financial markets, and banking
- Places value on process automation with an eye for reproducibility of results
- Experience working with Unix/Linux environment
- Minimum of 3+ years of experience as a Financial Mgr/Analyst
- Create documentation for all activities and may work with technology staff in design of any system to run models developed
- Apply analytical tools to assess risks to enterprise under stress, to design optimal strategies around pricing and originations, and to create integrated frameworks to assess interest revenues, non-interest revenues and credit losses in a consistent fashion
- Improve model development infrastructure, such as development systems, data diagnostics and documentation tools
- 10+ years of quantitative development or modeling experience
- 10+ years of working experience with financial market data process development including modeling, backtesting, attribution and documentation
- Ability to coach junior analysts and act as a functional team lead