Description
Python Developer - Equity Derivates & Risk Technology
We are seeking a Python Developer to join a leading Investment Bank to join their dynamic Equity Derivatives and Risk Technology team. In this role, you will design and deliver innovative technology solutions to support risk management, pricing, and analytics for equity derivatives trading. As part of a global, front-office team, you will work closely with traders, quantitative analysts, and other technology experts, contributing to high-impact projects in a fast-paced environment.
Key Responsibilities:
Develop and enhance systems for risk management, pricing, and trade lifecycle.
Collaborate with quants to implement models and algorithms.
Build scalable, low-latency solutions with Java and Python.
Optimize real-time and batch data pipelines.
Ensure high-quality code and performance in production systems.
Support and troubleshoot production systems.
Skills:
Proficiency in Python with with hands-on experience.
Interest or knowledge of equity derivatives and risk management.
Familiarity with financial models, microservices, and REST APIs.
Database expertise (SQL/NoSQL) and data modeling skills.
Knowledge of DevOps, CI/CD, and cloud platforms is a plus.
Strong problem-solving skills and ability to thrive in fast-paced environments.
Excellent communication and teamwork abilities.