883 Remote Senior Quantitative Analyst Investment Strategies jobs in Kenya
Senior Quantitative Analyst - Remote Investment Strategy
Posted 7 days ago
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Job Description
Responsibilities:
- Design, develop, and backtest complex quantitative trading strategies.
- Build and maintain sophisticated financial models for pricing derivatives, risk assessment, and portfolio optimization.
- Conduct in-depth market research and statistical analysis to identify investment opportunities and risks.
- Collaborate with portfolio managers and traders to implement and refine strategies in real-time.
- Monitor market conditions and model performance, making necessary adjustments.
- Develop and implement risk management frameworks and stress-testing methodologies.
- Ensure compliance with regulatory requirements and internal policies.
- Communicate complex quantitative concepts clearly to both technical and non-technical stakeholders.
- Utilize programming languages such as Python, R, C++, and SQL for data analysis, modeling, and implementation.
- Contribute to the continuous improvement of the quantitative team's tools and methodologies.
- Master's or Ph.D. in a quantitative field such as Finance, Economics, Mathematics, Statistics, Physics, or Computer Science.
- Minimum of 7 years of relevant experience in quantitative finance, financial modeling, or investment strategy.
- Proven expertise in statistical modeling, time-series analysis, econometrics, and machine learning.
- Strong programming skills in Python or R, and experience with SQL.
- In-depth knowledge of financial markets, derivatives (options, futures, swaps), and fixed income.
- Experience with risk management techniques and regulatory frameworks (e.g., Basel III, Dodd-Frank).
- Excellent problem-solving abilities and attention to detail.
- Strong communication and presentation skills, essential for remote collaboration.
- Demonstrated ability to work independently and manage multiple projects in a remote setting.
Remote Senior Quantitative Analyst - Investment Strategies
Posted 22 days ago
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Job Description
As a Senior Quantitative Analyst, you will be responsible for developing, testing, and implementing sophisticated quantitative models for various financial applications, including risk management, portfolio optimization, and algorithmic trading. Your work will involve extensive data analysis, statistical modeling, and programming. You will collaborate closely with portfolio managers, traders, and risk officers to understand their needs and translate them into quantitative solutions. This role requires a deep understanding of financial markets, advanced statistical techniques, and proficiency in programming languages commonly used in quantitative finance. Strong remote communication and collaboration skills are essential.
Key responsibilities include:
- Developing and implementing quantitative models for asset pricing, risk management, and portfolio construction.
- Conducting in-depth statistical analysis of market data to identify trends and opportunities.
- Designing and back-testing trading strategies using historical data.
- Collaborating with portfolio managers and traders to provide quantitative insights and support investment decisions.
- Monitoring the performance of quantitative models and making necessary adjustments.
- Researching and evaluating new quantitative methodologies and technologies.
- Developing tools and software for data analysis, model implementation, and performance monitoring.
- Communicating complex quantitative concepts to both technical and non-technical audiences.
- Ensuring compliance with regulatory requirements and internal risk policies.
- Contributing to the development and mentoring of junior quantitative analysts.
- Master's or Ph.D. in a quantitative field such as Mathematics, Statistics, Physics, Economics, Computer Science, or a related discipline.
- Minimum of 7 years of experience in quantitative analysis, financial modeling, or a related role within the banking and finance industry.
- Proven expertise in statistical modeling, time series analysis, and econometrics.
- Strong proficiency in programming languages such as Python, R, C++, or Java, and experience with relevant libraries (e.g., NumPy, Pandas, SciPy).
- Experience with financial data platforms (e.g., Bloomberg, Refinitiv) and databases.
- Solid understanding of financial markets, derivatives, and investment strategies.
- Excellent analytical, problem-solving, and critical-thinking skills.
- Strong communication and presentation skills, with the ability to explain complex quantitative concepts clearly.
- Ability to work independently and manage multiple projects in a remote setting.
- Experience with machine learning techniques applied to finance is a plus.
Senior Real Estate Portfolio Manager - Investment Strategy
Posted 18 days ago
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Job Description
Key Responsibilities:
- Develop and implement comprehensive investment strategies to achieve portfolio objectives.
- Source, evaluate, and underwrite potential real estate investment opportunities nationwide and internationally.
- Conduct in-depth market research and feasibility studies to identify emerging trends and assess risks.
- Perform complex financial modeling, valuation, and sensitivity analysis for prospective investments.
- Manage the due diligence process for acquisitions, including legal, financial, and operational reviews.
- Oversee the asset management of the existing portfolio, focusing on value enhancement and performance improvement.
- Develop and manage relationships with brokers, developers, lenders, and other industry professionals.
- Prepare detailed investment proposals, board presentations, and performance reports for senior management and investors.
- Monitor market conditions, economic indicators, and regulatory changes affecting the real estate sector.
- Optimize portfolio allocation and capital deployment to maximize risk-adjusted returns.
Qualifications:
- Master's degree in Finance, Real Estate, Economics, or a related quantitative field.
- Minimum of 10 years of experience in real estate investment, portfolio management, or corporate finance, with a strong emphasis on acquisitions and asset management.
- Demonstrated success in identifying and executing profitable real estate deals.
- Expertise in financial modeling, valuation methodologies (DCF, comparables, etc.), and market analysis.
- Excellent understanding of real estate capital markets, financing structures, and investment vehicles.
- Proven ability to work independently and collaboratively in a remote, global environment.
- Exceptional analytical, negotiation, and communication skills.
- Strong network within the real estate investment community is a plus.
Remote Financial Analyst - Investment Strategies
Posted 15 days ago
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Job Description
Senior Financial Analyst - Investment Strategy
Posted 22 days ago
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Job Description
As a Senior Financial Analyst, you will be responsible for conducting in-depth financial modeling, forecasting, and analysis to support investment decisions across various asset classes. Your role will involve evaluating market trends, assessing economic conditions, and analyzing portfolio performance to identify potential opportunities and risks. You will prepare detailed financial reports, presentations, and recommendations for investment committees and stakeholders. Key responsibilities include developing sophisticated valuation models, performing scenario analysis, and contributing to the strategic asset allocation process. The ideal candidate will possess a strong understanding of financial markets, investment principles, and quantitative analysis techniques. Proficiency in financial modeling software, Excel, and potentially specialized investment platforms is essential. Excellent communication and presentation skills are crucial for conveying complex financial information clearly and concisely. A deep understanding of risk management and regulatory compliance within the financial services industry is highly desirable. This role is structured as a fully remote position, requiring a proactive, self-disciplined individual capable of thriving in an independent work environment while collaborating effectively with a distributed team. A commitment to accuracy, integrity, and continuous learning is paramount.
Key Responsibilities:
- Conduct comprehensive financial modeling, forecasting, and valuation analysis for investment strategies.
- Analyze market data, economic trends, and portfolio performance to identify investment opportunities and risks.
- Develop and maintain financial models for various asset classes, including equities, fixed income, and alternatives.
- Prepare detailed financial reports, presentations, and recommendations for investment committees and senior management.
- Assist in the strategic asset allocation process and portfolio construction.
- Perform scenario analysis and sensitivity testing to assess potential outcomes.
- Monitor regulatory changes and ensure compliance with financial industry standards.
- Collaborate with portfolio managers and research analysts to refine investment strategies.
- Stay informed about macroeconomic developments and their impact on financial markets.
- Contribute to the development of new analytical tools and methodologies.
Qualifications:
- Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field. Master's degree or CFA charter preferred.
- 5+ years of experience in financial analysis, investment management, or a related role within the financial services industry.
- Proven expertise in financial modeling, valuation techniques, and quantitative analysis.
- Advanced proficiency in Microsoft Excel and financial modeling software (e.g., Bloomberg, FactSet, Refinitiv Eikon).
- Strong understanding of investment principles, asset classes, and capital markets.
- Excellent analytical, problem-solving, and critical thinking skills.
- Superior written and verbal communication skills, with the ability to present complex financial information effectively.
- Ability to work independently and manage multiple projects in a remote setting.
Senior Financial Analyst - Investment Strategies
Posted 22 days ago
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Job Description
Responsibilities:
- Conduct comprehensive financial analysis of investment opportunities and existing portfolios.
- Develop, maintain, and enhance complex financial models for valuation, forecasting, and scenario planning.
- Analyze market trends, economic indicators, and competitive landscapes to identify potential investment risks and opportunities.
- Prepare detailed financial reports, presentations, and recommendations for senior management and investment committees.
- Perform due diligence on potential investments, including financial, operational, and market assessments.
- Monitor the performance of investment portfolios and provide insights on asset allocation and strategy adjustments.
- Collaborate with internal teams to gather financial data and ensure accuracy.
- Stay abreast of regulatory changes and their potential impact on investment strategies.
- Assist in the development and implementation of new investment products and services.
- Support the budgeting and forecasting process for investment-related activities.
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field. Master's degree or CFA designation is a plus.
- 5+ years of experience in financial analysis, investment banking, asset management, or a related field.
- Proven expertise in financial modeling, valuation techniques (e.g., DCF, comparable company analysis), and data analysis.
- Strong understanding of financial markets, investment principles, and portfolio management.
- Proficiency in financial software and tools (e.g., Bloomberg Terminal, Excel, financial databases).
- Excellent analytical, quantitative, and problem-solving skills.
- Strong written and verbal communication skills, with the ability to present complex information clearly.
- Ability to work independently and as part of a team in a demanding environment.
- High level of accuracy and attention to detail.
Remote Financial Analyst - Investment Strategy
Posted 22 days ago
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Job Description
Key Responsibilities:
- Develop and maintain complex financial models to forecast financial performance, assess investment opportunities, and evaluate business cases.
- Conduct thorough analysis of financial statements, market data, and economic trends to identify investment risks and opportunities.
- Prepare detailed financial reports, presentations, and memos for senior management and investment committees.
- Assist in the development and execution of investment strategies, including asset allocation and portfolio construction.
- Monitor the performance of investment portfolios and provide regular performance analysis.
- Conduct due diligence on potential investments, including company valuations and risk assessments.
- Collaborate with internal teams, including portfolio managers, traders, and compliance officers, to support investment decisions.
- Research and analyze industry trends, competitive landscapes, and macroeconomic factors impacting financial markets.
- Ensure compliance with all relevant financial regulations and internal policies.
- Stay updated on the latest financial analysis techniques, investment tools, and market developments.
- Identify opportunities for process improvements in financial analysis and reporting.
- Support the budgeting and forecasting processes for various business units.
Qualifications:
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field.
- Minimum of 3 years of experience in financial analysis, investment research, or a related role.
- Proven experience in building and utilizing complex financial models (e.g., DCF, LBO, M&A models).
- Strong understanding of financial markets, investment principles, and valuation methodologies.
- Proficiency in Microsoft Excel, PowerPoint, and financial analysis software (e.g., Bloomberg, FactSet, Refinitiv Eikon).
- Excellent quantitative, analytical, and problem-solving skills.
- Strong written and verbal communication skills, with the ability to present complex financial information clearly.
- Ability to work independently, manage priorities, and meet deadlines in a remote work environment.
- CFA designation or progress towards CFA is highly desirable.
- Experience with statistical analysis software is a plus.
- High level of accuracy and attention to detail.
This is a fully remote position offering a flexible work arrangement. Join our client and make a significant contribution to their investment success.
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Remote Senior Financial Analyst - Investment Strategies
Posted 8 days ago
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Job Description
- Developing and maintaining complex financial models for forecasting, budgeting, and valuation purposes.
- Conducting in-depth financial analysis of investment opportunities, market trends, and economic conditions.
- Performing quantitative analysis and risk assessment for various asset classes.
- Preparing detailed financial reports, presentations, and memos for senior management and investment committees.
- Assisting in the development and refinement of investment strategies and portfolio allocation.
- Monitoring portfolio performance and providing insights on deviations and opportunities.
- Collaborating closely with portfolio managers and traders to support decision-making.
- Ensuring compliance with regulatory requirements and internal policies.
- Staying abreast of industry best practices and emerging financial technologies.
- Contributing to the continuous improvement of financial processes and reporting.
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field; MBA or CFA charter preferred.
- Minimum of 6 years of progressive experience in financial analysis, investment banking, corporate finance, or portfolio management.
- Advanced proficiency in financial modeling, valuation techniques, and statistical analysis.
- Expertise in Microsoft Excel and financial analysis software (e.g., Bloomberg Terminal, FactSet).
- Strong understanding of capital markets, investment instruments, and financial regulations.
- Excellent analytical, problem-solving, and critical thinking skills.
- Exceptional written and verbal communication skills, with the ability to present complex information clearly.
- Proven ability to work independently and manage multiple priorities in a remote setting.
- Demonstrated success in a fast-paced, results-oriented environment.
- Fluency in English is required.
Remote Senior Financial Analyst - Investment Strategy
Posted 22 days ago
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Job Description
The ideal candidate will possess a strong understanding of financial markets, corporate finance, and investment principles. You will develop complex financial models to forecast future performance, assess risk, and determine valuation. This includes building discounted cash flow (DCF) models, comparable company analyses (CCA), and precedent transaction analyses (PTA). You will also prepare detailed reports and presentations for senior management and investment committees, clearly articulating your findings and recommendations. The ability to communicate complex financial concepts effectively to both financial and non-financial stakeholders is essential. As a remote analyst, you will work closely with portfolio managers and investment teams, leveraging digital collaboration tools to ensure seamless communication and efficient workflow.
We are looking for a strategic thinker with exceptional analytical and problem-solving skills. A Bachelor's degree in Finance, Economics, Accounting, or a related field is required; a Master's degree or CFA charter is highly preferred. You must have a minimum of 7 years of progressive experience in financial analysis, investment banking, equity research, or a related field. Proven experience in developing sophisticated financial models, conducting due diligence, and making investment recommendations is mandatory. Proficiency in financial databases (e.g., Bloomberg, Refinitiv Eikon), Excel, and presentation software is essential. The ability to work independently, manage multiple projects simultaneously, and meet tight deadlines in a remote environment is critical. This role offers a challenging and rewarding opportunity to influence investment strategy and contribute to the financial success of the organization, all within a flexible remote setting. The successful candidate will be a self-motivated professional with a keen eye for detail and a commitment to maintaining the highest standards of financial integrity.
Responsibilities:
- Conduct in-depth financial analysis and modeling for investment opportunities.
- Develop and maintain complex financial models (DCF, CCA, PTA).
- Research market trends, economic factors, and company performance.
- Evaluate the financial health and potential returns of investments.
- Prepare detailed investment reports and presentations for senior management.
- Collaborate with portfolio managers and investment teams remotely.
- Assess investment risks and identify mitigation strategies.
- Stay current with financial markets and regulatory changes.
- Bachelor's/Master's degree in Finance, Economics, or related field; CFA preferred.
- Minimum 7 years of experience in financial analysis or investment management.
- Proven expertise in financial modeling and valuation techniques.
- Proficiency with financial databases (Bloomberg, Refinitiv) and Excel.
- Strong analytical, research, and communication skills.
- Ability to thrive in a remote, fast-paced financial environment.
Lead Financial Analyst - Remote Investment Strategy
Posted 3 days ago
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Job Description
Key responsibilities include preparing detailed financial reports, analyzing financial trends, identifying investment opportunities and risks, and evaluating the financial performance of various business units. You will collaborate closely with senior management, treasury, and investment teams to develop long-term financial plans and budgets. The role demands a strong understanding of financial markets, corporate finance principles, and valuation methodologies. You will be expected to present complex financial data in a clear, concise manner to diverse stakeholders, both verbally and in writing. Staying abreast of economic conditions, regulatory changes, and industry best practices is crucial for providing relevant and timely analysis.
The ideal candidate will possess a Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field. A Master's degree or professional certification (e.g., CFA, CPA) is highly preferred. A minimum of 7 years of progressive experience in financial analysis, investment banking, corporate finance, or a related field is required, with demonstrable experience in leading analytical projects. Exceptional quantitative, analytical, and problem-solving skills are essential. Proficiency in financial modeling software, advanced Excel, and data visualization tools is mandatory. Strong communication and presentation skills are vital. This is a fully remote position, requiring a high degree of self-motivation, excellent time management, and the ability to work effectively in a virtual team environment. If you are a strategic financial thinker with a passion for driving business success through insightful analysis, we invite you to apply.