Perform quantitative analysis on liquid asset portfolios (stocks, bonds, derivatives, …) for our institutional clients such as pension funds and (re)insurers
Create cost transparency by calculating, processing, and benchmarking explicit and implicit trading and investment costs
Synthesize your results in presentations and present them to our clients and their asset managers
Increase the net returns of our clients’ liquid assets by improving cost efficiency based on the results of your analysis
Develop new quantitative models and software tools to enhance process automation and improve the handling of large volumes of trading and market data
Grow with us and take on increasing project responsibilities
Requirements
Strong quantitative skills and a high affinity for numbers – you believe that data analytics are valuable
Strong academic background in mathematics, physics, or finance
Intrinsic motivation to tackle and solve complex quantitative problems
You consider precision a principle, not a burden
Self-driven, highly organized, and a results-oriented team player
Excel is your friend (just finding the icon does not count)
Experience in software development and databases is an advantage
Highly proficient in English and German
Benefits
Flexible working arrangements
Trust-based vacation policy
Mentoring
Internal and external training – tailored to your specific needs
Support in obtaining additional qualifications and certificates relevant to our business
Competitive compensation
Optional pension scheme
Team of bright-minded colleagues
Open and supportive culture
International environment where the team feels empowered, responsible, and valued
Opportunity to grow with the company and make a lasting impact