Quantitative Researcher, Evergreen Portfolio Management (boston Or Toronto)

HarbourVest Inc

Boston, Massachusetts, United States
Base: $160,000 - $240,000; bonus: eligible for dis...
Hybrid
Strong python programming skills
Rigorous statistical analysis experience
Experience analyzing large datasets
This role involves leveraging proprietary private markets datasets to characterize market risk/return relationships and optimize liquidity management for evergreen portfolios

Job Summary

  • This role involves leveraging proprietary private markets datasets to characterize market risk/return relationships and optimize liquidity management for evergreen portfolios.
  • The position offers a hybrid work arrangement providing 18 remote workdays per quarter at the employee's discretion subject to manager approval.
  • Candidates will collaborate with experienced researchers to develop quantitative models that enhance portfolio construction and support client engagements.

Matching Summary

This role involves leveraging proprietary private markets datasets to characterize market risk/return relationships and optimize liquidity management for evergreen portfolios.

Salary

Base: $160,000 - $240,000; Bonus: Eligible for discretionary annual bonus based on performance; Benefits: Comprehensive package including retirement, health insurance, and paid time off

Skills & Requirements

Must-have

  • Strong Python programming skills
  • Rigorous statistical analysis experience
  • Experience analyzing large datasets
  • SQL database experience required
  • 3+ years quantitative finance role

Nice-to-have

  • Prior independent research experience
  • Monte-Carlo simulation methods knowledge
  • Ability to learn existing code base
  • Passion for financial markets investing
  • Innovative entrepreneurial attitude

Key Requirements

  • Bachelor of Arts or Science degree required
  • Master's or Ph.D. in technical field preferred
  • 3+ years experience in quantitative finance role

Work Rights

Not specified

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