Assistant Professor in Financial Mathematics at the University of Amsterdam.
The assistant professor will perform research in the area of financial mathematics, both from a practical or a purely theoretical perspective. Possible topics are credit risk modeling, term structure of interest rates, portfolio choice, but his/her future research is by no means limited to these. We strive for appointing an excellent candidate, whose own research profile and interests will certainly be considered as an opportunity to open new directions of research. Collaboration with other researchers in The Netherlands or abroad is strongly encouraged. Minimum Requirements: A PhD in Mathematics or in an adjacent field; a deep and broad understanding of the research field, as is reflected in a number of recent publications in the international literature; interest in application-oriented research, possibly in cooperation with financial institutions. Details on
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