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A Bachelor’s degree in Mathematics, Statistics, Quantitative Finance or related field is required, with an advanced degree strongly preferred. Candidates need 3+ years of experience in quantitative modeling, financial research, index management, or data analysis, plus comfort with large datasets and coding in Python or SQL.
This information is not specified in the job description.
This information is not specified in the job description.
You will join the Multi Asset Index Management Team within the Global Index Management & Production Group (IMPG).
Strong candidates have a relevant Bachelor’s or advanced degree, 3+ years in quantitative modeling or index management, coding skills in Python or SQL, and a solid understanding of global financial markets. Pursuing certifications like CFA, FRM, or CQF, plus the ability to solve non-routine problems analytically, will stand out.
Provides financial information and analytics services
S&P Global provides financial information and analytics to a wide range of clients, including investors, corporations, and governments. The company offers services such as credit ratings, market intelligence, and indices, which help clients understand and navigate the global financial market. S&P Global's products work by utilizing advanced data analytics and research to deliver insights that assist clients in making informed decisions and managing risks. Unlike many competitors, S&P Global has a diverse range of divisions, including S&P Global Ratings and S&P Dow Jones Indices, which allows it to cater to various financial needs. The company's goal is to support clients in driving growth while also committing to corporate responsibility and positive societal impact.