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About the Role
Barclays seeks a Markets Strats - AVP to redefine the future of banking by expanding and scaling a research and portfolio analysis platform. This role involves direct collaboration with trading desks to build back-testing infrastructure, integrate data services, and support portfolio optimization, contributing to high-impact projects and large-scale analytical capabilities.
Responsibilities
- Develop and implement quantitative models and strategies to optimize trading decisions, pricing, and risk management.
- Conduct in-depth research, data analysis, and statistical modeling to understand market trends and risk dynamics.
- Provide front-office infrastructure support by maintaining analytical libraries.
- Advise and influence decision-making, contribute to policy development, and ensure operational effectiveness.
- Lead a team in performing complex tasks, setting objectives, and coaching employees.
- Lead collaborative assignments and guide team members, identifying new directions and methodologies for projects.
- Consult on complex issues and provide advice to People Leaders for escalated issues.
- Identify risks and develop new policies/procedures to strengthen controls and governance.
- Take ownership of risk management and control strengthening.
- Perform work that requires understanding of inter-departmental coordination to achieve organizational objectives.
- Collaborate with other areas for business-aligned support and to stay updated on business strategy.
- Engage in complex data analysis from multiple sources to solve problems creatively.
- Communicate complex information effectively to various audiences.
- Influence or convince stakeholders to achieve desired outcomes.
- Build back-testing infrastructure.
- Integrate multiple vendor and external data services.
- Support portfolio optimization and analysis.
Requirements
- Advanced Python development experience.
- Experience in Java.
- Experience with equity derivatives and similar financial contracts.
- Experience with back-testing frameworks and portfolio optimization techniques.
- Experience with large-scale data analysis using vendor and internal datasets (KDB).
- Experience with quantitative development for research and trading platforms.
- Ability to handle multiple projects in a fast-paced environment.
- Detail-oriented with considerable responsibility for deliverables.
- FINRA regulated role.
Skills
- Quantitative analysis
- Mathematical modelling
- Technology application
- Python
- Java
- Equity derivatives
- Back-testing frameworks
- Portfolio optimization
- Large-scale data analysis
- KDB
- Quantitative development
- Clear communication
- Problem-solving
- Analytical thinking
- Collaboration
- Risk and controls
- Change and transformation
- Business acumen
- Strategic thinking
- Digital and technology
Location
- New York, NY
Work Type
- Full-time
Experience Level
- Assistant Vice President (AVP)
Salary/Compensations
- $125,000
- $175,000
About the Company
- Barclays' vision is to redefine the future of banking and help craft innovative solutions.
Equal Opportunity
- All colleagues will be expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence and Stewardship – our moral compass, helping us do what we believe is right. They will also be expected to demonstrate the Barclays Mindset – to Empower, Challenge and Drive – the operating manual for how we behave.