Who We Are
The Sydney office of Milliman Inc. is looking for bright enthusiastic and qualified candidates to work in their Financial Risk Management (FRM) practice in the Capital Markets Group.
Millimans rigorous distinctly innovative approach to risk management is built on a foundation of actuarial expertise and shaped by some of the most advanced thinking in the industry. Whether youre looking to improve capital efficiency comply with regulatory requirements or guard against market volatility Milliman offers a complete range of operational strategic and financial risk management solutions and tools.
We have a focused multi-disciplinary team of actuaries financial engineers/capital markets professionals and software developers working together to develop risk management solutions for the financial services industry. We currently advise some of the worlds largest insurance companies in areas such as hedging strategy and operations portfolio risk management and capital requirements.
We hire the best in the businessand then trust them to do their work their way. Its about personal responsibility creativity flexibility. We believe great work happens in great work environments.
Our culture is highly collaborative with value placed on high quality work and innovation.
The Department/Team
Milliman Pty Ltd is seeking a Quantitative Analyst to join its Capital Markets Group as a member of the trading team in Sydney. The new team member will play a critical role in growing the organizations capabilities to trade a wide range of cash securities and derivatives including fixed income equities FX commodities ETFs and related exchange traded futures and options and OTC derivatives. The trading team executes securities and derivatives transactions in both domestic and international markets to achieve best execution and meet client portfolio management objectives.
Your Role/What Youll Do
The Quantitative Analyst will be responsible for supporting the Trading team by building maintaining and enhancing portfolio management and execution tools verifying blotters and reports to ensure data accuracy and developing back-testing and optimization models to assist traders and clients.
- The primary responsibility is to update enhance and support models used by Traders to monitor exposures and determine trading decisions as well as updating associated transaction records and market data.
- Assist Traders with pre-trade order data verification and peer reviews.
- Identify and reconcile data discrepancies ensuring follow-through to resolution.
- Demonstrate the ability to understand and interpret various types of trades executed by the trading team.
- Develop accurate and efficient back-testing or optimization models for investment strategies including asset allocation tail risk hedging income generation and capital preservation.
- Drive ongoing process improvements related to trading activities.
- Support timely deal entry and resolve issues to ensure all reporting requirements are met.
- Maintain up-to-date process and procedure manuals.
- Serve as a point of contact for data-related inquiries from Operations Compliance Bloomberg Support and other stakeholders as appropriate.
Required
Your Qualifications
- A bachelors degree or higher in a quantitative discipline such as Computer Science Economics Engineering Mathematics Actuarial Science or Physics.
- Proficiency in Excel and other similar desktop applications and tools.
- Programming skills in languages such as C# Python or equivalent.
Essential
- Prior experience in a Trading Analyst role is preferred.
- Ability to manage multiple tasks and perform effectively in a fast-paced environment.
- Capacity to understand the broader investment objectives underlying trade orders and to proactively consult with portfolio managers and traders.
- Strong commitment to delivering results within tight deadlines.
- Maturity sound judgment and a professional demeanor.
Desired
- Experience with electronic trading tools and platforms such as Bloomberg.
- Knowledge of financial derivatives and structured products.
- Excellent communication skills with the ability to clearly and succinctly convey ideas and recommendations both verbally and in writing.
Required Experience:
IC
Who We AreThe Sydney office of Milliman Inc. is looking for bright enthusiastic and qualified candidates to work in their Financial Risk Management (FRM) practice in the Capital Markets Group.Millimans rigorous distinctly innovative approach to risk management is built on a foundation of actuarial e...
Who We Are
The Sydney office of Milliman Inc. is looking for bright enthusiastic and qualified candidates to work in their Financial Risk Management (FRM) practice in the Capital Markets Group.
Millimans rigorous distinctly innovative approach to risk management is built on a foundation of actuarial expertise and shaped by some of the most advanced thinking in the industry. Whether youre looking to improve capital efficiency comply with regulatory requirements or guard against market volatility Milliman offers a complete range of operational strategic and financial risk management solutions and tools.
We have a focused multi-disciplinary team of actuaries financial engineers/capital markets professionals and software developers working together to develop risk management solutions for the financial services industry. We currently advise some of the worlds largest insurance companies in areas such as hedging strategy and operations portfolio risk management and capital requirements.
We hire the best in the businessand then trust them to do their work their way. Its about personal responsibility creativity flexibility. We believe great work happens in great work environments.
Our culture is highly collaborative with value placed on high quality work and innovation.
The Department/Team
Milliman Pty Ltd is seeking a Quantitative Analyst to join its Capital Markets Group as a member of the trading team in Sydney. The new team member will play a critical role in growing the organizations capabilities to trade a wide range of cash securities and derivatives including fixed income equities FX commodities ETFs and related exchange traded futures and options and OTC derivatives. The trading team executes securities and derivatives transactions in both domestic and international markets to achieve best execution and meet client portfolio management objectives.
Your Role/What Youll Do
The Quantitative Analyst will be responsible for supporting the Trading team by building maintaining and enhancing portfolio management and execution tools verifying blotters and reports to ensure data accuracy and developing back-testing and optimization models to assist traders and clients.
- The primary responsibility is to update enhance and support models used by Traders to monitor exposures and determine trading decisions as well as updating associated transaction records and market data.
- Assist Traders with pre-trade order data verification and peer reviews.
- Identify and reconcile data discrepancies ensuring follow-through to resolution.
- Demonstrate the ability to understand and interpret various types of trades executed by the trading team.
- Develop accurate and efficient back-testing or optimization models for investment strategies including asset allocation tail risk hedging income generation and capital preservation.
- Drive ongoing process improvements related to trading activities.
- Support timely deal entry and resolve issues to ensure all reporting requirements are met.
- Maintain up-to-date process and procedure manuals.
- Serve as a point of contact for data-related inquiries from Operations Compliance Bloomberg Support and other stakeholders as appropriate.
Required
Your Qualifications
- A bachelors degree or higher in a quantitative discipline such as Computer Science Economics Engineering Mathematics Actuarial Science or Physics.
- Proficiency in Excel and other similar desktop applications and tools.
- Programming skills in languages such as C# Python or equivalent.
Essential
- Prior experience in a Trading Analyst role is preferred.
- Ability to manage multiple tasks and perform effectively in a fast-paced environment.
- Capacity to understand the broader investment objectives underlying trade orders and to proactively consult with portfolio managers and traders.
- Strong commitment to delivering results within tight deadlines.
- Maturity sound judgment and a professional demeanor.
Desired
- Experience with electronic trading tools and platforms such as Bloomberg.
- Knowledge of financial derivatives and structured products.
- Excellent communication skills with the ability to clearly and succinctly convey ideas and recommendations both verbally and in writing.
Required Experience:
IC
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