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Are you an experienced financial markets professional with a strong focus on fixed income? Do you bring in-depth knowledge of fixed income products, index methodologies, and market data, and stay engaged with developments in indexing and exchange-traded funds (ETFs)? Do you have experience translating investment and index concepts into robust, scalable solutions, supported by a solid technical foundation, while establishing trusted relationships with clients, understanding their needs, and driving impactful solutions? Then you will very likely fit into our team!
Job Responsibility:
Develop ideas for innovative fixed income index products and translate them into robust methodologies
Assess historical performance of new investment strategies through back-testing and quantitative analysis
Monitor market developments and corporate actions, evaluating their impact on indices and investment solutions
Participate in strategic projects to further develop the business unit and enhance product offerings
Manage the end-to-end setup, calculation, and publication of indices, ensuring accuracy and reliability
Utilize Python to automate processes, manage data workflows, and improve operational efficiency
Ensure accuracy and reliability of client and vendor data within our infrastructure
Develop efficient, scalable, and robust processes in collaboration with other teams
Design, develop, and maintain production grade Python code leveraging software engineering best practices, including Git-based version control, testing, CI/CD pipeline integration, and the application of robust design patterns and modular code structures
Serve as a key contact for international clients, providing expert guidance on indices and addressing quantitative and technical inquiries
Prepare and deliver presentations, reports, and analyses to support client decision-making
Requirements:
Academic degree in Economics, Finance, Computer Science, or a comparable program
Strong expertise in fixed income, including knowledge of financial instruments such as ETFs, derivatives, and structured products
Proven programming skills, particularly Python, with experience in automating and optimizing processes
Excellent client understanding and communication skills, with experience collaborating with international clients
Former portfolio management or investment-focused experience is highly valuable
Highly motivated, proactive, and solution-oriented, able to work independently and deliver high-quality results
Team player with strong interpersonal skills, resilience, and the ability to thrive in complex, cross-functional projects
Nice to have:
Experience with ESG integration, quantitative research, or fixed income indices
What we offer:
30 annual vacation days plus extra time off for Christmas Eve and New Year
Market-competitive salary
Job ticket
Gym membership
Access to Corporate Benefits
Occupational pension scheme (bAV)
Support for certifications and training opportunities