776 Bonds jobs in Bahrain

Graduate Analyst - Financial Markets

71010 Jurdab BHD65000 Annually WhatJobs

Posted 11 days ago

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full-time
Our client, a prestigious firm within the Banking & Finance sector, is looking for ambitious and bright Graduate Analysts to join their dynamic team. This entry-level position offers an exceptional opportunity to launch a career in financial markets, gaining hands-on experience in analysis, trading support, and client services. You will work closely with experienced professionals, developing a deep understanding of financial products, market dynamics, and regulatory requirements. The role requires full-time presence at our offices near Salmabad, Northern, BH , to facilitate comprehensive training and integration within the team.

Responsibilities:
  • Assist senior analysts and traders in market research and data analysis.
  • Support the preparation of financial reports, presentations, and client-facing materials.
  • Monitor financial markets and news, identifying relevant trends and events.
  • Help with the execution of trades and ensure accuracy in trade settlement.
  • Conduct due diligence on financial products and services.
  • Maintain and update client databases and internal records.
  • Respond to client inquiries and provide support as needed.
  • Learn and apply quantitative analysis techniques.
  • Adhere to all company policies, procedures, and regulatory compliance standards.
  • Contribute to team projects and initiatives.

Qualifications:
  • Recent graduate with a Bachelor's degree in Finance, Economics, Business, Mathematics, or a related field.
  • Strong academic record with a demonstrated interest in financial markets.
  • Excellent analytical and quantitative skills.
  • Proficiency in Microsoft Office Suite, particularly Excel for data analysis and modeling.
  • Strong written and verbal communication skills.
  • High level of attention to detail and accuracy.
  • Ability to work effectively in a fast-paced team environment.
  • Proactive attitude and eagerness to learn new skills.
  • Professionalism and strong ethical values.
  • Familiarity with financial trading platforms or market data providers is a plus.

This role is perfect for graduates eager to begin their careers in the challenging and rewarding world of finance. Join our client's esteemed institution and grow your expertise within a supportive and collaborative setting.
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Graduate Analyst - Financial Markets

301 Manama, Capital BHD30000 Annually WhatJobs

Posted 13 days ago

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intern
Our client, a leading investment bank, is offering an exceptional opportunity for ambitious and intellectually curious recent graduates to join their esteemed Graduate Analyst program in Manama, Capital, BH . This program provides comprehensive training and hands-on experience in the fast-paced world of financial markets. Graduate Analysts will rotate through various departments, gaining exposure to trading, research, asset management, and risk management functions. The program is designed to develop well-rounded finance professionals capable of contributing to the firm's success.

Program Highlights:
  • Intensive onboarding and training in financial analysis, market fundamentals, and relevant technologies.
  • Rotational assignments across key business units such as Equities, Fixed Income, Foreign Exchange, and Derivatives.
  • Opportunity to work on real-time projects and contribute to strategic initiatives.
  • Mentorship from experienced professionals and senior management.
  • Exposure to client interactions and deal execution processes.
  • Development of critical thinking, problem-solving, and analytical skills.
  • Networking opportunities with peers and industry leaders.
  • Clear career progression path upon successful completion of the program.
  • Commitment to fostering a diverse and inclusive work environment.
  • Learning about global economic trends and their impact on financial markets.
Ideal candidates will have graduated within the last two years with a strong academic record (minimum GPA 3.5/4.0 or equivalent) in Finance, Economics, Mathematics, Statistics, or a related quantitative field. Demonstrable interest in financial markets, strong analytical and quantitative abilities, and excellent communication skills are essential. Proficiency in Excel and a basic understanding of financial modeling are required. Familiarity with programming languages such as Python or R is a plus. This is a highly competitive program requiring a proactive and driven mindset. The role is primarily based at our Manama, Capital, BH office, with potential for hybrid work arrangements as the program progresses.
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Senior Quantitative Analyst (Financial Markets)

271 Al Hidd, Muharraq BHD120000 Annually WhatJobs

Posted 1 day ago

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full-time
Our client, a prestigious financial institution, is seeking a highly analytical and experienced Senior Quantitative Analyst to join their trading strategies team in **Janabiyah, Northern, BH**. This critical role involves developing, implementing, and refining sophisticated quantitative models and trading algorithms for various financial markets. The ideal candidate will possess a strong background in mathematics, statistics, computer science, and finance, coupled with hands-on experience in financial modeling and data analysis. You will be instrumental in driving trading performance through rigorous research and innovative solutions.

Key Responsibilities:
  • Design, develop, test, and implement quantitative trading strategies and models.
  • Conduct in-depth statistical analysis of market data to identify trading opportunities and risks.
  • Build and maintain high-frequency trading systems and risk management frameworks.
  • Collaborate with portfolio managers and traders to provide insights and support trading decisions.
  • Develop robust back-testing and simulation frameworks for strategy evaluation.
  • Analyze and interpret complex financial datasets to uncover patterns and trends.
  • Optimize existing trading algorithms for enhanced performance and efficiency.
  • Stay abreast of the latest research in quantitative finance, machine learning, and computational finance.
  • Ensure the accuracy and reliability of quantitative models and data.
  • Contribute to the development of new financial products and analytics tools.
  • Communicate complex quantitative concepts and findings to both technical and non-technical stakeholders.
Qualifications:
  • Master's or Ph.D. in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, or Financial Engineering.
  • Minimum of 5-7 years of relevant experience in quantitative analysis, algorithmic trading, or financial modeling within the financial industry.
  • Proficiency in programming languages commonly used in quantitative finance (e.g., Python, C++, R, Java).
  • Strong understanding of financial markets, derivatives, and trading strategies.
  • Expertise in statistical modeling, time series analysis, machine learning, and econometrics.
  • Experience with large datasets and database management (e.g., SQL, NoSQL).
  • Excellent problem-solving, analytical, and critical thinking skills.
  • Strong communication and presentation skills, with the ability to explain complex methodologies.
  • Experience working in a hybrid work environment, balancing remote and in-office collaboration.
  • Familiarity with risk management principles and regulatory requirements in finance.
This hybrid position offers the chance to work at the forefront of financial innovation, combining the benefits of remote flexibility with the collaborative advantages of an office environment in **Janabiyah, Northern, BH**.
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Senior Quantitative Analyst (Financial Markets)

1093 Jaww, Southern BHD120000 Annually WhatJobs

Posted 1 day ago

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full-time
Our client, a leading financial institution, is seeking an experienced Senior Quantitative Analyst to join their dynamic team in **Saar, Northern, BH**. The successful candidate will play a pivotal role in developing and implementing sophisticated mathematical models and trading strategies across various asset classes. This hybrid role requires a blend of in-office collaboration and remote flexibility, allowing for deep analytical work and team synergy. You will be responsible for complex data analysis, risk management, and performance attribution, contributing directly to the firm's profitability and market positioning.

Key Responsibilities:
  • Design, develop, and backtest quantitative trading strategies using advanced statistical and machine learning techniques.
  • Build and maintain complex financial models for pricing, hedging, and risk management of derivatives and other financial instruments.
  • Conduct rigorous data analysis on market data, economic indicators, and company fundamentals to identify trading opportunities.
  • Collaborate with portfolio managers, traders, and technology teams to implement and deploy quantitative models.
  • Develop and improve risk management frameworks and stress-testing methodologies.
  • Perform in-depth performance attribution and explain P&L drivers.
  • Stay current with academic research and industry trends in quantitative finance and algorithmic trading.
  • Document model methodologies, assumptions, and limitations thoroughly.
  • Mentor junior analysts and contribute to the team's knowledge base.
  • Ensure compliance with regulatory requirements and internal policies.

Required Skills and Experience:
  • Master's or PhD in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, or Financial Engineering.
  • Minimum of 5 years of experience in quantitative finance, ideally within investment banking, hedge funds, or asset management.
  • Strong programming skills in Python, C++, or R, with experience in data manipulation and analysis libraries.
  • Proficiency in statistical modeling, time series analysis, machine learning algorithms, and econometrics.
  • In-depth knowledge of financial markets, asset classes (equities, fixed income, FX, commodities, derivatives), and trading strategies.
  • Experience with large datasets and distributed computing frameworks is a plus.
  • Excellent problem-solving and analytical abilities.
  • Strong communication and presentation skills, with the ability to explain complex concepts to a non-technical audience.
  • Ability to work effectively both independently and as part of a collaborative team in a hybrid work environment.
This is an excellent opportunity for a motivated quantitative professional to make a significant impact within a highly respected financial organization.
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Senior Quantitative Analyst (Financial Markets)

77002 Muharraq, Muharraq BHD110000 Annually WhatJobs

Posted 1 day ago

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full-time
Our client, a leading financial institution, is seeking a highly analytical and experienced Senior Quantitative Analyst to join their dynamic team in **Muharraq, Muharraq, BH**. This hybrid role is crucial for developing and implementing sophisticated mathematical models and statistical techniques to analyze complex financial markets and support trading strategies. You will be involved in pricing derivatives, managing risk, optimizing portfolios, and developing algorithmic trading models. The ideal candidate possesses a strong academic background in a quantitative field such as Mathematics, Physics, Statistics, Computer Science, or Financial Engineering, coupled with extensive practical experience in financial modeling. Responsibilities include designing, testing, and deploying quantitative models, performing rigorous back-testing and validation, and communicating complex findings to both technical and non-technical stakeholders. You will work with large datasets, utilize advanced programming languages (e.g., Python, C++, R), and leverage cutting-edge financial technologies. This role requires exceptional problem-solving abilities, meticulous attention to detail, and a deep understanding of financial instruments, market dynamics, and risk management principles. The ability to work effectively in a collaborative hybrid environment, contributing to team projects while also managing independent research, is essential. We are looking for a candidate with a proactive mindset, a passion for quantitative finance, and the drive to innovate within the financial markets. Your expertise will directly contribute to the firm's profitability and competitive edge. This is an exceptional opportunity to apply advanced analytical skills to challenging financial problems.

Qualifications:
  • Master's or Ph.D. in a quantitative discipline (Mathematics, Statistics, Physics, Financial Engineering, Computer Science, etc.).
  • 5+ years of experience in quantitative analysis within the financial services industry.
  • Strong expertise in financial modeling, derivative pricing, and risk management.
  • Proficiency in programming languages such as Python, C++, R, or MATLAB.
  • Experience with statistical analysis and machine learning techniques.
  • Deep understanding of financial markets, instruments, and trading strategies.
  • Excellent analytical, problem-solving, and computational skills.
  • Strong communication and presentation skills, with the ability to explain complex concepts clearly.
  • Experience working with large datasets and databases.
  • Ability to work independently and collaboratively in a hybrid setting.
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Senior Quantitative Analyst - Financial Markets

1002 Shahrakan BHD120000 Annually WhatJobs

Posted 3 days ago

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Job Description

full-time
Our client, a leading investment bank, is seeking a highly skilled Senior Quantitative Analyst to join their elite trading strategies team. This role is fully remote, allowing exceptional talent to contribute from anywhere. You will be instrumental in developing, implementing, and optimizing sophisticated mathematical models and algorithms for pricing, hedging, and risk management of complex financial instruments. Responsibilities include conducting cutting-edge research into market dynamics, identifying trading opportunities, and building robust analytical frameworks. The ideal candidate will possess a PhD or Master's degree in a quantitative field such as Mathematics, Physics, Computer Science, or Statistics, coupled with extensive experience in financial markets. You will work with large datasets, employing advanced statistical techniques and programming languages like Python, R, or C++. A deep understanding of financial derivatives, econometrics, and machine learning is essential. This is a challenging and rewarding opportunity to work on high-impact projects in a collaborative, yet independent, remote environment. Your analytical prowess and innovative thinking will be key to driving alpha generation and managing risk effectively within the firm's global operations.

Key Responsibilities:
  • Develop and backtest quantitative trading strategies and models.
  • Design and implement algorithms for pricing, hedging, and risk management of financial derivatives.
  • Conduct in-depth quantitative research on market microstructure, volatility, and correlation.
  • Analyze large datasets to identify trading patterns and opportunities.
  • Collaborate with traders and portfolio managers to translate research into actionable trading ideas.
  • Build and maintain robust codebases for trading systems and analytical tools.
  • Stay abreast of academic research and industry best practices in quantitative finance.
  • Perform rigorous statistical analysis and scenario testing on models.
  • Contribute to the development of risk management frameworks and tools.
Qualifications:
  • PhD or Master's degree in Mathematics, Statistics, Physics, Computer Science, Financial Engineering, or a related highly quantitative field.
  • Minimum of 5 years of experience in quantitative finance, quantitative trading, or a related role.
  • Expertise in programming languages such as Python, C++, R, or Java.
  • Strong knowledge of financial markets, derivatives pricing, and risk management.
  • Proficiency in statistical modeling, machine learning, and time series analysis.
  • Experience with large-scale data manipulation and database technologies.
  • Excellent problem-solving and analytical skills.
  • Ability to work independently and collaboratively in a fully remote setting.
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Senior Quantitative Analyst - Financial Markets

406 Al Muharraq BHD115000 Annually WhatJobs

Posted 4 days ago

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full-time
Our client, a leading global financial institution, is seeking a highly skilled Senior Quantitative Analyst to join their dynamic team. This is a fully remote position offering the chance to work on sophisticated financial modeling and data analysis. You will play a critical role in developing and implementing advanced quantitative models for risk management, portfolio optimization, and algorithmic trading strategies. The role involves extensive data analysis using statistical and machine learning techniques, as well as programming in languages such as Python, R, or C++. You will be responsible for designing, testing, and validating complex financial models, ensuring their accuracy and robustness. A key aspect of this position is to translate intricate financial concepts and data into actionable insights for traders and portfolio managers. You will also contribute to the enhancement of existing analytical tools and platforms, staying abreast of the latest developments in quantitative finance and data science. The successful candidate will possess a strong academic background in a quantitative field such as Mathematics, Statistics, Physics, or Computer Science, coupled with significant experience in the financial services industry. Proven ability to work with large datasets and a deep understanding of financial markets, derivatives, and risk management principles are essential. Excellent problem-solving skills, attention to detail, and the ability to communicate complex technical information clearly and concisely to non-technical audiences are required. This role requires a proactive mindset and the ability to work independently in a remote setting, contributing effectively to a globally distributed team.
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Senior Quantitative Analyst - Financial Markets

1010 Saar, Northern BHD150000 Annually WhatJobs

Posted 5 days ago

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full-time
Our client, a leading investment management firm, is seeking a highly skilled Senior Quantitative Analyst to join their sophisticated trading and risk management division. This role is crucial for developing and implementing complex mathematical models and algorithms that drive investment strategies and manage market risk. The ideal candidate will possess a strong academic background in a quantitative discipline, exceptional analytical and problem-solving skills, and extensive experience in financial modeling, statistical analysis, and programming. You will be responsible for designing, testing, and deploying quantitative trading strategies, as well as developing sophisticated risk models for portfolio management.

Key responsibilities include conducting rigorous back-testing and performance analysis of trading algorithms, identifying market inefficiencies, and contributing to the firm's investment research. You will also be involved in developing real-time pricing and risk analytics tools. The ability to work independently, collaborate effectively with traders and portfolio managers, and communicate complex quantitative concepts clearly is essential. Proficiency in programming languages such as Python, C++, or Java, and experience with statistical and machine learning libraries are required. A deep understanding of financial markets, derivatives, and portfolio theory is mandatory. A PhD or Master's degree in Mathematics, Statistics, Physics, Computer Science, Financial Engineering, or a related quantitative field is strongly preferred. A minimum of 5 years of relevant experience in quantitative finance, hedge funds, or proprietary trading firms is necessary. Strong communication and presentation skills are vital for explaining complex methodologies to non-technical audiences. This position requires a highly analytical and innovative individual dedicated to pushing the boundaries of quantitative finance. Location: Saar, Northern, BH
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Senior Risk Analyst - Financial Markets

31112 Tubli, Central BHD120000 Annually WhatJobs

Posted 5 days ago

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full-time
Our client, a distinguished international financial institution, is seeking a highly analytical and experienced Senior Risk Analyst to join their Risk Management division, supporting operations near **Riffa, Southern, BH**. This hybrid role combines the flexibility of remote work with essential in-office collaboration. You will be responsible for identifying, assessing, and mitigating various financial risks, including market risk, credit risk, and operational risk, across a broad spectrum of financial products and services. The ideal candidate will possess a strong quantitative background, advanced analytical skills, and a deep understanding of financial markets and regulatory frameworks. You will develop and implement risk models, conduct stress testing, and prepare detailed risk reports for senior management and regulatory bodies. Proficiency in risk management software, statistical analysis tools, and financial modeling is essential. This position requires the ability to communicate complex risk concepts clearly and concisely to diverse audiences. You will collaborate closely with trading desks, portfolio managers, and compliance teams to ensure robust risk management practices. This is an excellent opportunity for a driven professional to contribute to the stability and success of a leading financial organization, working a hybrid schedule that balances remote work with critical team interaction.

Responsibilities:
  • Identify, assess, and quantify financial risks across various portfolios and products.
  • Develop, validate, and implement sophisticated risk models and methodologies.
  • Conduct stress testing and scenario analysis to evaluate potential impacts of adverse market conditions.
  • Monitor market developments and assess their impact on the institution's risk profile.
  • Prepare comprehensive risk reports for senior management and regulatory authorities.
  • Collaborate with business units to implement risk mitigation strategies.
  • Ensure compliance with all relevant financial regulations and internal policies.
  • Stay abreast of industry best practices and emerging risk management techniques.
  • Contribute to the development and enhancement of risk management systems and tools.
  • Provide expert advice on risk-related matters to relevant stakeholders.
Qualifications:
  • Master's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field.
  • Minimum of 6 years of experience in financial risk management, preferably within banking or investment firms.
  • Strong understanding of financial markets, instruments, and risk types (market, credit, operational).
  • Proficiency in statistical software (e.g., R, Python) and financial modeling.
  • Experience with risk management frameworks and regulatory requirements (e.g., Basel Accords).
  • Excellent analytical, problem-solving, and quantitative skills.
  • Strong written and verbal communication skills, with the ability to present complex information clearly.
  • Proven ability to work independently and collaboratively in a hybrid environment.
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Senior Quantitative Analyst - Financial Markets

00270 Bilad Al Qadeem, Capital BHD150000 Annually WhatJobs

Posted 5 days ago

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full-time
Our client, a leading financial institution, is seeking a highly analytical and accomplished Senior Quantitative Analyst to join their elite remote team. This role is critical for developing sophisticated mathematical models and quantitative strategies used across trading, risk management, and portfolio optimization. You will be working with complex datasets, leveraging advanced statistical techniques, and implementing cutting-edge algorithms to drive significant financial outcomes. This is a fully remote position, enabling you to contribute your expertise from any location while collaborating closely with top-tier financial professionals worldwide.

Responsibilities:
  • Develop, test, and implement quantitative models for pricing, hedging, and risk management of financial derivatives and securities.
  • Design and backtest trading strategies based on statistical arbitrage, machine learning, and other quantitative techniques.
  • Analyze large datasets to identify market patterns, trends, and opportunities.
  • Collaborate with traders, portfolio managers, and risk managers to understand their needs and develop tailored quantitative solutions.
  • Implement models in production environments using high-performance programming languages.
  • Conduct rigorous statistical analysis and validation of model performance.
  • Research and evaluate new quantitative methodologies and technologies.
  • Contribute to the development of the firm's quantitative research framework and infrastructure.
  • Prepare technical documentation and present findings to senior management and relevant stakeholders.
  • Ensure compliance with regulatory requirements and internal policies related to quantitative modeling and risk management.
Qualifications:
  • Ph.D. or Master's degree in a quantitative field such as Mathematics, Physics, Statistics, Computer Science, or Financial Engineering.
  • 5-7+ years of experience in quantitative finance, working as a quant analyst, researcher, or developer in an investment bank, hedge fund, or asset management firm.
  • Expertise in statistical modeling, time series analysis, machine learning, and numerical methods.
  • Proficiency in programming languages such as Python, C++, or R for quantitative analysis and model implementation.
  • Strong understanding of financial markets, instruments, and trading strategies.
  • Experience with large-scale data analysis and distributed computing is highly desirable.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Strong communication and interpersonal skills, with the ability to explain complex concepts clearly.
  • Ability to work independently and manage projects effectively in a remote setting.
  • Proven track record of developing and deploying successful quantitative models.
This is an exceptional opportunity to leverage your quantitative expertise at the highest level within a globally recognized financial organization. You will have the chance to work on challenging projects that have a direct impact on the firm's success, all within a flexible, remote work environment. We are looking for individuals with a passion for quantitative finance, a rigorous scientific approach, and a drive for innovation. Join a team that is committed to pushing the boundaries of financial modeling and driving excellence. The fully remote setup allows for global collaboration and diverse perspectives. Your skills in statistical modeling and algorithmic development will be highly valued and crucial to our ongoing success in the competitive financial markets. The role is conceptually linked to the Manama, Capital, BH region, but is performed entirely remotely.
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