Responsibilities:
- Build models from scratch using statistical techniques
- Research and develop stochastic modeling of financial assets
- Collaborate with senior leadership to discuss best practices in regards to model implementation, development, and research
Requirements:
- PhD or Masters in STEM field
- 5+ years programming in Python
- Experience as a strat or technologist in the finance industry preferred
- Strong written and verbal communication skills
- Strong desire to work in a growing, fast paced, collaborative team