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python dashboards portfolio_stress_testing๐ Description
- Design, build, and maintain quantitative risk analysis tools.
- Build scalable Python analytics pipelines for reporting and real-time risk monitoring.
- Run portfolio margin stress tests and scenario analyses, delivering actionable insights.
๐ฏ Requirements
- 8+ years in quantitative finance or risk management.
- Advanced degree (MS/PhD) in a quantitative field.
- Proven track record building risk tools for credit, market, liquidity risk.
- Deep expertise in risk monitoring, dashboards, and executive reports.
- Experience with portfolio stress testing and scenario analysis.
- Proactive, independent problem solver.
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