Your mission
- Develop, test, and maintain the internal portfolio data management system in Python and MySQL.
- Implementation of financial reporting requirements as well as regulatory disclosure standards.
- Implementation and maintenance of the internal asset pricing models and risk management tools.
- Support the Client Operations Team with ad-hoc queries coming from clients.
- Data acquisition of client portfolios for multi-asset class (equity, bonds, derivatives, loans, etc.) funds.
- Develop scalable system architecture and optimize the existing code for enhanced functionality, performance, and speed.
Develop new analytical libraries and utilities that compute portfolio statistics and financial risk figures of client portfolios and funds.
Use the latest technologies offered by Amazon AWS to automate data transfer and standardization between various third-party systems.Participate in code reviews, testing, and documentation.Your profile
The ideal candidate is capable of designing and delivering well-documented, reusable, unit-tested code in Python. Knows how to write solid and secure API backend. Can interact with MySQL database through SQLAlchemy. Has extensive experience with portfolio risk modeling and asset pricing. Is not afraid of system / integration testing and is a team player.
Deep knowledge and understanding of financial instruments, asset pricing, and fundsExperience with derivatives (options, swaps, swaptions, credit derivatives, exotic options, etc.)Enjoys automating financial reporting requirements in a client focused environmentExperience in quantitative development in Python and MySQLExperience with Agile / Scrum / Jira / GitTeam player with a positive mindset and ability to work independently and take ownership of projectsGood command of EnglishMust be eligible to work in the EU and a resident in Budapest, HungaryWhy us?
Opportunity to join a dynamic entrepreneurial team committed to a common mission and an open mind for new ideas and methodologiesAbility to work directly with the largest financial institutions on IT and data management projects as part of a supportive teamTraining and education initiatives to enhance personal and professional developmentPossibility to work from homeCompetitive compensation and benefits packageFlexible working environmentIntensive onboarding training and mentoringTeam-building and off-site eventsClear communication throughout the companyiQuant Solutions is an equal opportunity employerAbout us
iQuant Solutions is a London-based fintech company with staff located in London, Zurich, Frankfurt, and Budapest that provides data management, portfolio statistics, quant modeling, regulatory fund reporting solutions, and other analytics services to the asset management and financial services industry.
During the last decade, the data management and reporting requirements for asset managers have increased tremendously. Our mission is to help financial institutions regain control of their data, in terms of quality and availability, to better serve their clients and meet their reporting obligations. We believe that automation of fund data and reporting is the key to a modern, efficient, and long-term solution for those challenges.