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описание
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задачи
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требования
5+ Years of Python development experience in enterprise or financial environments;
Strong understanding of financial instruments, including equities, derivatives, fixed income, and market data;
Experience with Python libraries such as NumPy, Pandas, PySpark, Pydantic, PyTorch, or QuantLib;
Experience with trading systems, risk engines, or portfolio management platforms;
Strong knowledge of microservices architecture and API development;
Experience with cloud platforms such as AWS, Azure, or GCP;
Hands-on experience with Docker, Kubernetes, and CI/CD pipelines;
Strong analytical, communication, and stakeholder management skills;
English: Upper-Intermediate+;
Nice to have: experience in the UK financial sector, knowledge of financial compliance and regulatory frameworks including MiFID II, Basel III, and SOX, experience mentoring developers and leading code reviews.