Senior Financial Analyst(Quant – Modern Portfolio Theory analysis)

We are hiring finance experts to build, review, and improve quantitative financial models focused on Modern Portfolio Theory, portfolio construction, asset allocation, and risk analysis.

What You’ll Do
  • Build Modern Portfolio Theory and portfolio optimization models from scratch.
  • Explain modeling choices clearly and defend the logic behind your work.
  • Work with messy or incomplete information and turn it into a clear analytical structure.
  • Create realistic finance scenarios, assumptions, and supporting source materials.
  • Review models built by other experts and identify errors, weak assumptions, or unrealistic outputs.
  • Explain modeling logic, assumptions, limitations, and investment conclusions clearly.
Qualifications
  • 2 to 8+ years of experience in quantitative finance, portfolio analytics, investment research, asset management, or risk management.
  • Hands-on experience building portfolio models from scratch.
  • Strong knowledge of Modern Portfolio Theory, CAPM, asset allocation, portfolio optimization, and risk-adjusted returns.
  • Advanced Excel modeling skills.
  • Strong numerical, analytical, and communication skills.
  • Ability to work independently with incomplete or ambiguous information.

Nice to Have

  • Experience with debt, credit, restructuring, commercial real estate, asset-backed securities, asset-based lending, or structured finance models.
  • Experience creating or reviewing modeling tests, case studies, or training materials.
  • Familiarity with artificial intelligence tools, automation, or data workflows.

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Job Category: Finance
Job Type: Full Time
Job Location: Remote

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