RAD Developer at AQR Capital Management

London, England, United Kingdom

AQR Capital Management Logo
Not SpecifiedCompensation
Mid-level (3 to 4 years)Experience Level
Full TimeJob Type
UnknownVisa
FinanceIndustries

Requirements

  • At least 4 years working in the Finance and Technology arenas; ideally in Front office development
  • Proficiency programming in technologies such as C#, Excel, VBA and SQL
  • Demonstrated knowledge around Financial Instruments (such as Fixed Income or Derivatives)
  • Familiarity with Python would be advantageous, as would wider financial knowledge (FX, Commodities, Equity)
  • Self-motivated and able to face off to senior business users on the trading desks and the risk desk
  • Ability to gather requirements, design elegant but pragmatic solutions and implement them through to release
  • Comfortable with the full software development lifecycle and adherence to best practices
  • Ability to build re-usable library functions within the code quant library framework
  • Strong focus on delivery, balancing rapid BAU change with longer term strategic development

Responsibilities

  • Face off to traders and meet their RAD tool requirements, ranging from small (e.g., risk reports) to large (e.g., trading workflow, risk systems, scenario tools)
  • Use any technology pragmatically, prioritizing time to market, fit for purpose, and code reusability
  • Develop Excel front ends underpinned by C# library functions, Mongo, and SQL Server databases
  • Maintain and build trading desk tools, both bespoke to pods and general to a desk
  • Grow exposure to cross-asset products and deliver highly visible solutions desired by business sponsors

Skills

C#
Excel
VBA
SQL
Python
MongoDB
SQL Server

AQR Capital Management

Global investment management firm offering diversified strategies

About AQR Capital Management

AQR Capital Management provides investment management services with a focus on technology, data, and behavioral finance. The firm offers a variety of investment strategies that are based on a consistent set of principles, aiming to achieve long-term and repeatable results. AQR works primarily with institutional investors such as pension funds, insurance companies, and sovereign wealth funds, as well as financial advisors and their clients. Their investment approach combines both qualitative and quantitative methods to carefully design and test investment models. AQR differentiates itself by applying systematic and well-thought-out investment solutions that enhance portfolio construction, risk management, and trading. The company's goal is to deliver value through effective asset management while generating revenue from management and performance fees on the assets they oversee.

Greenwich, ConnecticutHeadquarters
1998Year Founded
VENTURE_UNKNOWNCompany Stage
Quantitative Finance, Financial ServicesIndustries
501-1,000Employees

Benefits

Health Insurance
Dental Insurance
Vision Insurance
401(k) Retirement Plan
Paid Vacation

Risks

Increased competition from quantitative firms may erode AQR's market share.
The rise of passive strategies like ETFs could impact demand for AQR's services.
Regulatory scrutiny on quantitative trading could increase compliance costs for AQR.

Differentiation

AQR integrates financial theory with practical application for superior investment results.
The firm uses quantitative tools to process fundamental information and manage risk.
AQR's systematic approach aligns with the growing trend of factor investing.

Upsides

AQR can leverage ESG factors in their quantitative models to meet rising demand.
Machine learning advancements enhance AQR's data analysis and predictive modeling capabilities.
AQR can capitalize on personalized investment solutions with their quantitative tools.

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