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Alexandr PekelisAP

Alexandr Pekelis

Data Engineer

800 €/jour
Paris, FR
8-15 ans

Délai de réponse moyen : 1h

À propos de Alexandr

I design and build data pipelines for financial analytics, with a focus on portfolio and ESG data.

My work typically involves integrating complex datasets (holdings, benchmarks, ESG providers), transforming them into reliable, analysis-ready outputs, and ensuring consistency between underlying data and reported figures.

I have a strong background in systematic investing and understand the full data-to-decision chain — from raw data ingestion and signal generation to portfolio construction and reporting.

I am particularly comfortable working in imperfect data environments, debugging inconsistencies, and aligning business logic with actual outputs.

Tech stack includes Python, SQL, Databricks and PySpark.
  • Anglais

    Bilingue ou natif

  • Français

    Notions

  • Allemand

    Bilingue ou natif

  • Russe

    Bilingue ou natif

En télétravail uniquement
Travaille majoritairement à distance

Expériences

  • Allianz Global Investors
    Sustainability Specialist
    BANQUE & ASSURANCES
    avril 2022 - Aujourd'hui (4 ans et 2 mois)
    Paris, France
    Designed and implemented ESG data integration frameworks for investment management use cases.

    Built scalable data pipelines combining portfolio holdings, benchmark data and external ESG datasets (e.g. carbon metrics, ESG scores, Net Zero indicators).

    Developed analytics and methodologies for sustainability and regulatory reporting, including:
    – ESG scoring models
    – Carbon footprint and intensity metrics
    – Net Zero alignment (SBTi, CDP)
    – SFDR / PAI indicators

    Structured and transformed complex datasets into analysis-ready outputs for portfolio reporting and decision-making.

    Ensured consistency between underlying data and reported KPIs through validation, reconciliation and debugging processes.

    Developed cloud-based data solutions enabling scalable and collaborative processing of financial and ESG data.

    Collaborated closely with portfolio managers, legal, compliance and product teams to support investment processes and product structuring.

    Engaged with external data providers, auditors and regulatory stakeholders to ensure data quality and alignment with industry standards.
    Databricks PySpark Python SQL ESG
  • ansa capital management
    Portfolio Manager – Systematic Strategies (Global Macro / ARP)
    BANQUE & ASSURANCES
    mars 2017 - mars 2022 (5 ans)
    Frankfurt, HE, Germany
    Researched and developed systematic investment strategies for institutional portfolios (~€2bn AuM), with a focus on global macro and alternative risk premia.

    Designed and implemented signal generation frameworks in Python, including data ingestion, feature engineering and model-driven strategy logic.

    Built and maintained the data infrastructure supporting the full investment workflow:
    – market data ingestion and processing (SQL / Python)
    – signal computation and portfolio construction
    – performance tracking and analytics
    – client reporting (Power BI / Excel)

    Developed tools for portfolio optimization, risk monitoring and liquidity management across liquid asset classes (equities, fixed income, FX, commodities).

    Ensured robustness and consistency of strategy outputs through data validation, backtesting and ongoing monitoring.

    Covered the full data-to-decision chain, from raw data processing to portfolio implementation and reporting.
    Python SQL Quantitative Finance Portfolio Management

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Formations

  • PhD in Finance
    University of Mannheim
    2017
    PhD in Finance
  • M.Sc. in Finance & Investments
    Rotterdam School of Management
    2010
    M.Sc. in Finance & Investments

Compétences

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