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Quantitative Analyst – Credit, Global Asset Manager, London – eFinancialCareers

eFinancialCareers

Responsibilities

  • Develop quantitative credit models, including spread and default risk frameworks.
  • Source, test and integrate new alpha signals across credit markets into research pipelines.
  • Monitor model-generated trade ideas and disseminate outputs to investment teams.
  • Produce rigorous standalone research with clear reports and presentations.
  • Contribute thematic quantitative research and thought leadership across credit.
  • Build and maintain the research platform and shared analytical codebase.
  • Improve communication and visualisation of model outputs for portfolio teams.
  • Uphold code quality, version control and systematic testing standards.
  • Translate quantitative insights for Portfolio Managers, Credit Analysts, Traders and Investment Directors.
  • Engage in cross-asset forums and collaborate across regions and disciplines.
  • Support the internal and external profile of the quantitative research function.
  • Discuss model methodology and research outputs with clients when required.

Requirements

  • BSc/MSc in a quantitative discipline; strong statistics, econometrics and numerical methods.
  • Proven track record building quantitative models in an investment or credit context.
  • Strong Python (pandas, NumPy); SQL and Git advantageous.
  • Advanced Excel; familiarity with Bloomberg or similar data platforms.
  • Experience handling large, complex financial datasets.
  • CFA or similar qualification a plus.
  • Clear written and verbal communication of technical concepts.
  • Collaborative and adaptable, comfortable working across functions and asset classes.

To apply for this job please visit www.reed.co.uk.

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