Quantitative Research, Trading & Risk

Quantitative Research & Analytics | Systematic Trading & Electronic Markets | Data Science | Credit & Market Risk | Model Risk / Validation

Anson McCade works with many top tier Investment Banks, Hedge Funds, Proprietary Trading houses, Asset Managers, Financial Technology firms as well as a variety of boutique financial companies across Europe, North America and APAC regions. Our expertise within the Quantitative Research, Trading and Risk spaces has resulted in Anson McCade earning a position as a Tier 1 supplier to many of the world's largest and most elite financial organisations.

Areas of expertise include:

  • Front Office – Quantitative Analytics/Strats – this extends through algorithmic trading and automated market making, systematic research and infrastructure development, derivatives modelling and trading desk support.
  • Model Risk/Validation – across all asset classes including theoretical review and model governance.
  • Credit/Market Risk – including model development and validation across all capital risk models.
  • Quantitative Strategies/Systematic Trading – primarily within the buy side, covering Quantitative Portfolio Managers/Researchers and Team moves across all asset classes and time horizons.
  • Quantitative Developers & Technology Experts
  • Entry-Level Quantitative Researchers.

Please click the button below to register your CV, either generally or for any specific role that you are interested in. To ensure a high quality of service all applications are sent to a senior manager. Anson McCade will treat every application as confidential.

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