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Quant Analyst working with Cross Asset Derivatives, Buy Side

This job is no longer available

Real Staffing
05 October 2012
02 November 2012
Stephanie Siew
Contract Type
£40000 - £60000 per annum + Excellent benefits and bonus potential

Further information

The leaders in quantitative analytics and financial risk management solutions are looking for a Quantitative Analyst to join their client services team to work on a brand new product that they've launched to help clients structure deals and manage risk in a more superior way.

They currently need to piece together and integrate all the different models to package this new software which is where you come in. As this role also involves both pre-sales and post sales responsibilities, clear communication is critical. You will need to discover and understand what their clients are after and hoping to achieve, as well as looking after them once they have bought the software.

My client is looking for technical competency in an OO based programming language and MATLAB, as well as anywhere over 2-3 years experience working in quantitative or risk analytics related specifically to financial derivatives.

Regarding academics, the ideal candidate will posses a PhD in a highly numerate/quantitative field, such as Computer Science, Quantitative Finance, Maths, Physics etc. Someone with a Masters may also be considered, however this is contingent on the 2 following factors:

- That the Masters is highly technical in nature, and

- You have relevant work experience for more than 3-4 years on top of said Masters Degree

This position is based in Ireland. Should you be interested, you can look forward to working for a company with a very strong team culture and a flat organisation who are driven by mutual respect and operate within an open environment with an open door policy.

If you are interested to apply, please upload a Word Format CV and we will be in touch.

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Real Staffing

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