Salary
≈ $24k – $60k per year (Estimated)
Location
In office (Bengaluru)
Seniority
Middle · 3+ years exp
Overview
Company
Impact
Profile match
Amazon is the world's largest online retailer. The company has been referred to as "one of the most influential economic and cultural forces in the world", as well as the world's most valuable brand.
Responsibilities:
- Desk-Facing Delivery: Turn ambiguous requests from client investment and operations staff into specifications, and then into production systems.
- Backend Services: Design and maintain high-performance APIs using Python (FastAPI or similar) that power client-specific data access and analytics.
- Data Pipelines: Build and operate reliable ingestion and transformation pipelines for market, position, and reference data using an orchestrator (Airflow, Dagster, or Prefect).
- Data Modeling: Architect analytical and transactional data models that hold up as the business changes, the trusted foundation for dashboards, reports, and AI agents.
- Financial Semantics: Implement analytics layers for performance, exposure, and risk calculations using linear algebra and time-series operations (Pandas, Polars).
- Data Quality: Build reconciliation, validation, and monitoring. A wrong number reaching a portfolio manager is an incident, not a bug.
- Governed Metrics: Maintain metric definitions and a semantic layer so the same number means the same thing in a dashboard, a report, and an agent's answer.
- Numerical Debugging: Trace a discrepancy back through the pipeline to source data to debug the number, not just the stack trace.
- Client Collaboration: Work directly with client investment, research, and operations teams, alongside engineers across Bangalore and New York, to gather requirements, iterate, and support live workflows.
Requirements:
- 3-10 years of engineering experience, with at least 2 years in or adjacent to financial markets.
- Working knowledge of investment data models, positions, securities, transactions, P& L, exposure, returns, and how a front-office team actually uses them.
- Direct experience at a hedge fund, asset manager, proprietary trading desk, sell-side desk, fund administrator, or a vendor serving them.
- A degree in computer science, engineering, mathematics, or a related quantitative field or equivalent practical experience.
- Strong Python and SQL hands-on experience building APIs using FastAPI, Flask, or Django, and a solid understanding of RESTful and secure API design.
- Production experience with data pipelines and an orchestration tool (Airflow, Dagster, or Prefect).
- Experience with analytical databases and data warehouses (e. g., Snowflake, ClickHouse, DuckDB, SQL Server, Databricks), and deliberate data modeling, not incidental SQL.
- Experience with analytical libraries (Polars, Pandas) for computationally heavy workloads.
- Familiarity with data quality frameworks and monitoring.
- Hands-on experience with Docker and containerized development.
- Exposure to cloud platforms (Azure, AWS, or GCP) and cloud-native architectures.
- Comfort with ambiguity and the judgment to ask the right question of a non-technical stakeholder.
- Excellent communication skills for translating technical concepts to investment and operations staff.
- Strongly Preferred Experience with portfolio analytics, risk platforms, or fund accounting systems; comfortable with complex models such as factor risk, attribution, or reconciliation.
- Familiarity with AI development workflows and agentic frameworks (Claude Code, LangGraph, MCP servers, RAG).
- Familiarity with event-driven and streaming architectures for real-time and batch data processing.
- Hands-on exposure to dbt and local analytics with DuckDB.
- Performance optimization on large time-series workloads. Track record of shipping in fast-paced, client-facing environments.
- Comfortable reading frontend code and working alongside our UI team; you won't own the UI.
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