We are looking for an Investment Engineer to join our team of experienced professionals in the finance sector. The Investment Engineer will be responsible for creating and managing investment portfolios that meet our clients' objectives while managing the associated risks. The successful candidate will have strong knowledge and experience in risk management, treasury, and securities. The Investment Engineer will be responsible for analyzing market trends and investment opportunities, researching financial markets and securities, conducting financial analysis and evaluating risk and return, monitoring performance of existing investments, participating in the development of strategic plans, and preparing financial reports. Additionally, the Investment Engineer will be expected to stay abreast of market and economic conditions and recommend changes to the investment portfolio accordingly. The successful candidate must have a minimum of four years of experience in investments, excellent analytical and problem-solving skills, and strong communication and interpersonal skills. Knowledge of financial software and systems is also desirable.
• As an Investment Engineer at Rezi, responsible for applying engineering principles and technologies to work on complex financial processes
• Develop and maintain software applications to support the Investment Group's financial activities
• Work with investment professionals to help design, build and maintain quantitative models, portfolio optimization and other quantitative analysis
• Design and develop data processing systems to support portfolio analysis, risk management and optimization
• Develop and maintain data visualizations to better understand and monitor the performance of portfolios
• Analyze investment data for opportunities to improve the efficiency and accuracy of the investment process
• Build and maintain automated processes to ensure consistency and quality of data inputs
• Assist in developing and refining processes for managing and monitoring investments
• Proven track record of successfully engineering and/or managing investment strategies.
• 5+ years of experience in financial engineering, quantitative analysis, financial modeling, and/or portfolio analytics.
• Advanced skills in data analysis, statistical modeling and programming languages (R, Python, SQL, etc.).
• Expertise in portfolio construction techniques (e.g. asset allocation, risk-based optimization, factor-based investing, etc.).
• Proficiency in financial economics, econometrics, and/or quantitative finance.
• Ability to develop and implement automated investment processes.
• Deep understanding of financial markets and asset classes.
• Excellent communication, problem-solving, and analytical skills.
• Strong attention to detail and organizational skills.