How do they match: Financial Quantitative Analysts

  • Analytics Manager
  • Model Risk Manager
  • Portfolio Manager
  • Quantitative Analytics Manager

  • Develop quantitative techniques to inform securities investing, equities investing, pricing, or valuation of financial instruments. Develop mathematical or statistical models for risk management, asset optimization, pricing, or relative value analysis.

  • Apply mathematical or statistical techniques to address practical issues in finance, such as derivative valuation, securities trading, risk management, or financial market regulation.
  • Consult traders or other financial industry personnel to determine the need for new or improved analytical applications.

  • Confer with personnel to coordinate business operations.
  • Discuss business strategies, practices, or policies with managers.