2022-07-29 11:26:48

Jr. Risk Analyst

CVMarket.lt klientas
1200 - 2000 €/m Net

Job Description

The firm is a global financial and economic research provider, catering to a range of asset management institutions including hedge funds, mutual funds, private equity funds, etc. The team of highly experienced professionals have been accoladed multiple times as the best in the field. The organizational structure of the firm is relatively flat, which means that talents are recognized early and rigorous work ethic translates into actual investment decision making. This is the only opportunity in the Baltic States to get exposure to financial markets and asset management in a way that it is done in the City and Wall Street.

Requirements

Our expectations for the candidate

  • Good English oral and written communication skills.
  • SQL (medium or above level; familiar with CTE table, windows function etc)
  • Python (familiar with libraries such as pandas, matplotlib, seaborn; experience working with database interactions)
  • Excel: (medium or above level; familiar with Vlookup etc)
  • PowerPoint: (basic charting skills etc)
  • Genuine interest in financial markets
  • Basic/Medium understanding of statistics
  • A degree in Econometrics, Statistics, Financial Engineering, Computational Science, Quantitative Finance
  • 1-2 years of relatable work experience
  • Results oriented with can-do attitude
  • Ability to work in high intensity environment while maintaining impeccable attention to details and diligence

Other beneficial knowledge (optional)

  • Basic knowledge of Bloomberg terminal
  • Power BI
  • Scraping and working with API’s experience (preferably with python)
  •  Enrolment in FRM program is an advantage.

Company offers

  • Competitive salary and good annual bonus;
  • The best growth opportunities in the industry;
  • Opportunity to learn from people around the world;
  • Office perks like food, pizzas and company funded sports;
  • Office in the heart of Vilnius.