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  • Quant Analyst with German
    New

    Quant Analyst with German

    100 - 125 PLN/hNet per hour - B2B
    Type of work
    Full-time
    Experience
    Mid
    Employment Type
    B2B
    Operating mode
    Remote
    Link Group

    Link Group

    Hundreds of IT opportunities are waiting for you—let’s make it happen! Since 2016, our team of tech enthusiasts has been building exceptional IT teams for Fortune 500 companies and startups worldwide. Join impactful projects in BFSI, CPG, Industrial, and Life Sciences & Healthcare industries. Work with cutting-edge technologies like Cloud, Business Intelligence, Data, and SAP. Unlock your potential, grow your skills, and collaborate with top global clients. Ready for your next big career move? Let’s link with us!

    Company profile

    Tech stack

      German

      B2

      R

      regular

      SQL

      regular

      VBA

      regular

      Python

      regular

      Java

      regular

      C++

      regular

    Job description

    Overview

    We are looking for a Quantitative Analyst / Consultant with strong analytical skills and a deep understanding of financial products, risk management, and quantitative modeling. This role requires fluency in German and the ability to work on complex financial models, risk frameworks, and regulatory requirements across various asset classes.


    Key Responsibilities

    • Apply technical expertise and industry knowledge to analyze and optimize financial models.
    • Lead or contribute to large-scale client engagements, ensuring high-quality service delivery.
    • Stay updated on market trends and regulatory developments in the financial services sector.
    • Manage risks, monitor project progress, and communicate effectively with key stakeholders.


    Required Qualifications & Skills

    ✅ Academic Background

    • Bachelor's, Master's, or Ph.D. in Computational Finance, Mathematics, Engineering, Statistics, or Physics.
    • 4-8 years of relevant experience in quantitative finance, risk management, or model development.

    ✅ Technical & Financial Expertise

    • Proficiency in R, SQL, VBA, Python, Java, C++.
    • Strong understanding of Monte Carlo methods, Finite Difference methods, and Stochastic Calculus.
    • Experience in pricing derivatives for asset classes like fixed income, equities, credit, FX, and commodities.
    • Knowledge of market risk (VaR, Stressed VaR, Expected Shortfall) and credit risk (CVA, PFE, etc.).
    • Hands-on experience in model development, validation, back-testing, stress testing, and benchmarking.
    • Experience with risk modeling, credit portfolio modeling, and regulatory compliance (CRR, ECB, Basel, FRTB).

    ✅ Regulatory & Financial Industry Knowledge

    • Deep understanding of EU banking regulations and credit risk frameworks.
    • Experience with Asset Liability Management (ALM), prepayment models, and volatility estimation.

    ✅ Project & Stakeholder Management

    • Strong problem-solving and communication skills.
    • Ability to translate business requirements into actionable quantitative models.
    • Experience in report writing, data analysis, and project management.


    Good-to-Have Skills

    • Certifications: FRM, CQF, CFA, PRM.
    • Experience with ETRM/CTRM systems (e.g., Calypso, SunGard, Murex, Bloomberg, RiskMetrics).
    • Knowledge of AI, Blockchain, RPA, Cloud, and Microservices in finance.
    100 - 125 PLN/h

    Net per hour - B2B

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