ARPM – Advanced Risk and Portfolio Management is a research and education company, founded by Attilio Meucci, based in New York City with virtual offices worldwide.
Our mission is to promote the highest standards for learning advanced Data Science and Quantitative Finance.
ARPM is hiring a Junior Researcher
We are looking for a colleague with a passion for statistics and mathematics. The successful candidate will be contributing to the ARPM online learning platform by developing and reviewing teaching material in the field of quantitative finance and data science for finance. He/she will work full-time, remotely (from home or any other location), constantly communicating via multimedia with the other team members.
The ARPM researcher position represents an opportunity for candidates with a quantitative background to work in a high-performing environment.
Job responsibilities
- review theoretical material and provide high-value insights and feedback
- create examples and case studies to provide intuition for theoretical statements
- create Python scripts to support examples
- create lecture slides in Beamer (LaTeX)
- record video lectures
- create exercises to prove theoretical statements
- support teaching activities (e.g. homework preparation, grading, interactive platform(s) moderation, etc.)
What we offer
- remote full-time work with flexible working hours
- competitive salary package
- dynamic international working environment with opportunity for professional development
- opportunity to expand and deepen your knowledge of mathematics and quantitative finance
Requirements
- passion for statistics and mathematics
- Master’s (equivalent) in mathematics, statistics or theoretical physics
- highly analytical with strong attention to detail
- drive for continual learning
- good command of English
Highly regarded
- Ph.D. in mathematics, statistics or theoretical physics
- knowledge of Python or similar
- some knowledge of finance
ARPM LLC
ARPM’s mission is to set and disseminate the standards for advanced quantitative risk management and portfolio management, across the financial industry: asset management, insurance, and banking.
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