Detalles de la Oferta
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Quantitative Investment Strategy M/F

No se muestra la compañía
 Londres, Reino Unido
V.I.E., Seguros, Inglés, Francés

Descripción del puesto:

At Societe Generale, you will be joining the Global Markets division (MARK) of SG Corporate and Investment Banking. MARK offers a cross-asset approach along all its offerings : Research, Investment & Risk Management Solutions, Execution and Prime Services to asset managers, pension funds, companies, private banks, insurance companies, hedge funds, family offices, sovereign funds and distributors worldwide.
You will join the FIC sub-team within the Quantitative Investment Strategies (QIS) team in London and will evolve in an international, dynamic and fast paced environment integrated within Sales, Traders and Quant Research.

During your VIE mission you will be in charge of these responsibilities:

* Aid in the development of systematic strategies for a wide range of sophisticated European based Clients (Pension Funds, Asset Managers, Insurance Companies …).
* Collaborate with other structurers, quant researchers and traders to generate new strategies ideas and backtest them.
* Help develop and the implement systematic strategies on a wide range of asset classes and instruments.
* Participate in the creation of marketing documents and the contextualisation of such strategies.
This is a fantastic opportunity to gain hands-on experience working on a trading floor, under the immediate supervision of senior team members with sharp expertise on cross-asset Risk Premia systematic strategies development. This will bring you among one of the most innovative and recognized teams on global markets when it comes to derivatives structuring

Requerimientos del candidato/a:

The VIE assignment in a nutshell
This VIE in London is to begin as soon as possible but you need to plan 3 months between your application date and the beginning of your VIE assignment. It will last 12 months.
The VIE is a specific contract, under Business France's eligibility criteria, opened to candidates under 28 and from the member states of the European Economic Space. For further information, please see
Graduate with a Master degree from Business/Engineering school or University, majoring in quantitative finance.
You are fluent in English; French optional
You are proficient in Office application. Good analytical and coding skills (Python or Excel)
Understanding of derivatives
Ability to work under pressure and demonstrate initiative

Origen: Web de la compañía
Publicado: 01 Oct 2020
Tipo de oferta: V.I.E.
Idiomas: Inglés, Francés
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