Financial Modeller Opportunity
A financially savvy and numerate individual is required to contribute to our investment strategy by developing and implementing risk and performance analytics.
In this role, you will be responsible for delivering high-quality insights to inform decision-making processes, ensuring optimal outcomes for our organisation.
* Design and implement mathematical models, statistical tools, and visualisation techniques to evaluate trends and anomalies.
* Develop and maintain dashboards to monitor and report on risk and performance metrics.
* Collaborate with stakeholders to gather requirements and provide recommendations for improvements.
* Utilise expertise in data analysis to drive informed decision-making.
* Build and maintain relationships with internal teams to ensure seamless communication and collaboration.
About You:
* 1-2 years of experience working in a similar role.
* Degree in a numerate and analytical field (Mathematics, Statistics, Finance, Actuary, Economics, etc.).
* Strong analytical and problem-solving skills, with attention to detail and accuracy.
* Ability to communicate complex ideas simply and effectively.
* Proficient in a range of software applications, including coding languages and risk systems.
* Knowledge of financial markets and instruments.
* Interest or background in asset management and superannuation.
* Familiarity with advanced mathematical and statistical techniques.