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Quantitative Trading Analyst

posted by: spj_bot

Quantitative Trading Analyst (Risk Architecture)

Location: New York, NY (Full-Time)

Category: Finance / Quantitative Trading

Compensation: $140K - $300K

We are on a mission to democratize access to global markets by enabling anyone with a digital wallet to trade stocks, commodities, currencies, and crypto with total transparency. We are replacing the traditional, opaque brokerage model with a permissionless, on-chain trading stack where every transaction is verifiable via open-source code. Backed by $27.9M+ in funding from premier investors including General Catalyst, Jump, Susquehanna (SIG), and Alliance DAO, we are scaling an elite team to build the future of On-Chain Real World Assets (RWA).

We are seeking a Quantitative Trading Analyst to architect and upgrade the risk management engine securing our protocol. In this role, you will bridge the gap between Traditional Finance (TradFi) derivatives and DeFi market structures. Your mandate is to quantify protocol risk rigorously, designing systems that support high-leverage trading while mathematically ensuring absolute protocol solvency.

Responsibilities

Job Skills

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Market intelligence &Treasury Planning Manager

posted by: spj_bot

About us:

Soar is a global fintech startup that specializes in financing and investment. Currently headquartered in Saudi Arabia, Soar is growing throughout the region with a mission to help people achieve their financial goals with innovative financial and property investment solutions and tools through its multi-purpose platform, designed to offer a simple and seamless user experience.

Role Purpose

To manage/lead the analytical and strategic functions of the Treasury by integrating market intelligence with internal funding and liquidity planning. This role acts as the data-driven brain of the Treasury, providing actionable insights, forecasts, and recommendations that strengthen funding strategy, liquidity optimization, and investor confidence.

This role is Open worldwide Remote, however, If the candidate is based in Riyadh, KSA or Cairo, Egypt then it will be Hybrid.

Key Responsibilities

1-Market Intelligence & External Analysis

2-Monitor developments in local and global financial markets, including interest rate trends, yield curves, and central bank policy shifts.

3-Track mortgage market dynamics, including housing finance trends, primary and secondary mortgage rates, and relevant indexes.

4-Analyze NDMC issuances, Sukuk market activity, and competitor funding transactions to identify pricing benchmarks and investor appetite.

Job Skills

financial economic indexes interest rate islamic arabic bank regulatory requirement financial engineering presenting data investor relation accounting ACI dashboards financial datum acts support decision cross functional collaboration professional certifications banks treasury financing analytical stress tests bloomberg finance integrating long term presentations terminals bloomberg multi purpose analytics operations real estate investment management benchmarks balance sheet innovative financial models financial analytic market research scenario analysis yield instruments market analysis corporate finance manage lead economics financial market data consistency forecasts real estate finance write communication english liquidity forecasts investment e user experience financial modeling power bi presentation CTP planning market intelligence decision making analytical thinking track
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