O pozici
Purpose of the role
To provide quantitative and analytical expertise to support trading strategies, risk management, and decision-making within the investment banking domain, applying quantitative analysis, mathematical modelling, and technology to optimise trading and investment opportunities.
Co budeš dělat
- Development and implementation of quantitative models and strategies to derive insight into market trends and optimize trading decisions, pricing, and risk management across various financial products and markets.
- Working closely with sales teams to identify clients' needs and develop customised solutions.
- In-depth research, data analysis, and statistical modelling to derive insights into market trends, pricing, and risk dynamics.
- Provide front office infrastructure support though ownership and maintenance of analytical libraries.
- Provision of expertise on quantitative methodologies, technological advancements, and industry best practices to drive innovation within the trading environment.
Koho hledáme
- Extensive proficiency in modern C++
- Significant analytical and numerical skills
- Good written and verbal communication in English
- Considerable proficiency in Python
- Basic understanding of mathematical finance
- Experience of CICD workflows in a large, complex codebase
Benefity
- Barclays employees are also eligible for a suite of competitive country-specific benefits.
- This position is eligible for an incentive award.