Quantitative Business Analyst – Risk & Performance
New York, New York, United States · On-site
$89k–$115k/yr
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$89k–$115k/yr
Full-time
bachelor degree
Health Insurance, Vision Insurance, Dental Insurance, 401(k), PTO, Parental Leave
Posted 28d ago
~40 hrs/week
Responsibilities
Oversee the development and enhancement of Value-at-Risk and Stress Testing products by defining market data requirements and drafting technical specifications. Collaborate with quantitative analysts and engineers to ensure product delivery and alignment with stakeholder goals.
Requirements
Requires a Bachelor's degree in a quantitative field and over 5 years of experience in financial services or risk management. Candidates should possess a strong understanding of VaR methodologies and ideally have coding experience in object-oriented languages.
Full job description
Asthe QuantitativeBusiness Analyst Risk & Performance for our Risk & Performanceteam, you willbe responsible foroverseeing the development and enhancement of our Value-at-RiskandStress Testingproducts. You will collaborate with cross-functional teams, including quantitative analysts (quants) and engineers, to ensure that our product meets thehigh standardsexpected by our clients and stakeholders. This role requires a strong blend of technical understanding, market knowledge, andanalyticalskills.
Key Responsibilities:
Market Data Requirements:
Define market data requirements essential forRisk Analyticsproducts.
Collaborate with market data vendors to source high-quality data to support our modeling and analytical needs.
Maintain an awareness of market trends and data availability to ensure our productremainscompetitive and robust.
Specification Drafting:
Draft comprehensive specifications for product components, ensuring clarity and precision.
Define and document modeling methodologies that will be applied within theVaRand Stress Testingproducts.
Work closely with stakeholders to gather requirements and translate them into actionable specifications.
Cross-functional Collaboration:
Coordinate with quants and engineers to drive product development and ensuretimelydelivery of solutions.
Facilitate communication between teams to resolve any issues andalign onproduct goals and priorities.
Act as a product advocate, fostering a shared understanding of theRisk Analyticsproductsacross various departments.
Requirements:
Bachelor’s degree in Finance, Economics,Science,Engineering,orMathematics.
5+ years of experience as a Product Manageror Business Analystin financial services or risk management, particularly in market risk or quantitative finance.
Understanding of value-at-risk concepts and methodologies, including historical and Monte-Carlo simulations.
Excellent written and verbal communication skills, with the ability to draft technical specifications clearly.
Strong analytical and problem-solving skills.
Coding experience in modern object-oriented languages – Python, C++, C#, or Java is a plus.
Customer-facing experience explaining highly technical analytic solutions sets you apart.
Salary Range
$102,000.00 - $144,000.00
This is the pay range the Company believes it will pay for this position at the time of this posting. Consistent with applicable law, compensation will be determined based on relevant experience, other job-related qualifications/skills, and geographic location (to account for comparative cost of living). The Company reserves the right to modify this pay range at any time. For this role, benefits include: health/vision/dental insurance, 401(k), PTO, parental leave, and medical leave, STD/LTD insurance benefits. Clearwater Analytics is An Equal Opportunity/Affirmative Action Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability or veteran status, age or any other federally protected class.
Clearwater Analytics (NYSE: CWAN) is transforming investment management with the industry’s most comprehensive cloud-native platform for institutional investors across global public and private markets. While legacy systems create risk, inefficiency, and data fragmentation, CWAN’s single-instance, multi-tenant architecture delivers real-time data and AI-driven insights throughout the investment lifecycle. The platform eliminates information silos by integrating portfolio management, trading, investment accounting, reconciliation, regulatory reporting, performance, compliance, and risk analytics in one unified system. Serving leading insurers, asset managers, hedge funds, banks, corporations, and governments, CWAN supports over $8.8 trillion in assets globally. Learn more at cwan.com.
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Integrated Investment AccountingCompliancePerformance & Risk Reportingdaily aggregationreconciliation and validation of investment dataComplete investment portfolio transparencyAutomated GAAPSTAT and Tax Investment Accountingand saasAccounting
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