We have been exclusively retained by one of our prestigious clients based in UAE specializing in Investment, Financial Services and Technology, to identify Quantitative Researchers and Developers.This is an onsite opportunity for Quantitative Researchers and Developers, Open to all Nationalities. :
A PhD in technology, physics, mathematics or similar.
Previous exposure as a Quantitative Researcher or Developer in Financial Services/ Investments is a must.
All teams work collaboratively in research and/or production squads to implement research prototypes (FA, SD, T, PO) and production applications (DC, D, PI/E).
Data Curation - Key responsibilities:
manage vendors and data trials
catalogue, onboard & ingest raw data and assess data quality
structure frozen and live datasets for statistical analysis and production.
Feature Analysis - Key responsibilities:
explore and identify statistical patterns including model specification
determine the most important features and apply explainable AI techniques
isolate interaction effects, and estimate generalization errors
Strategy Development - Key responsibilities:
propose a falsifiable theory as to why an opportunity exists and is likely to continue
develop an investment algorithm that monetizes the opportunity
assess the profitability of the algorithm under various regimes/scenarios
Testing - Key responsibilities
peer-review research and assess the probability of a false discovery
ensure research documentation is complete, accurate and reproducible
independently assess the profitability of the investment algorithm
validation of the cause-effect mechanism proposed
control for multiple testing
Deployment - Key responsibilities:
productionize all mathematical prototypes developed, and compute target positions
reproduce and accept the prototype delivered by research
develop scientific code and create re-usable software applications out of prototypes
ensure that production software delivers the output intended by the research prototype
compute target positions using live data and pre-determined allocations and constraints
Portfolio Oversight Key responsibilities:
conduct graduation through paper trading and into live trading
calculate risk and performance attribution (out-of-sample)
monitor strategy performance and calculate strategy allocations