Permanent Derivative Jobs

126 to 150 of 182 Permanent Derivative Jobs

Java or C++ Programmer - Quantitative Risk Management Applications

Chicago, Illinois, United States
Request Technology - Robyn Honquest
setting: The role requires advanced coding, database and environment manipulation skills. cloud environment. Financial products knowledge is a plus: understanding of markets and financial derivatives in equities, interest rate, and commodity products. Background in Financial mathematics is a plus: derivatives pricing models, stochastic calculus, statistics and probability theory, linear algebra. more »
Employment Type: Permanent
Salary: USD 195,000 Annual
Posted:

Quantitative Analyst

London, England, United Kingdom
Legal & General
and related business areas Ensuringeffective utilisation of enhanced data, analytical, risk engine and portfolio management capabilities Collaboratingwith associated teams (e.g. collateral management/margining; derivative pricing) to ensure new operational/business processes are implemented in the most effective way Supporting investment analysis relevant to the client balance sheet and … taken with respect to managing client portfolios are in accordance with LGIM’s Treating Customers Fairly policy Qualifications Strong fixed income modelling knowledge including derivatives across credit, rates and inflation .NET, Python, Matlab or C# programming experience Good knowledge of risk management practices and practical constraints in implementation Understanding of … Ability to execute quickly on client projects including data gathering and validation Building and maintaining models for pricing, portfolio construction and portfolio management of derivative strategies designed to hedge risks and enhance returns Additional Information Legal & General is a leading financial services organisation, named Britain’s Most Admired Company in more »
Posted:

Director - Quantitative Developer

London, United Kingdom
Hybrid / WFH Options
Barclays
paced environment of a large investment bank.Essential Skills/Basic Qualifications:· Experience designing and delivering risk engines for generation of value and risk for derivatives products.· Management experience leading a team of quant developers to deliver substantial platform updates.· Ability to work with asset-class Quant teams on standards for … and integration of quant analytics libraries.· Experience supporting a production risk engine managing a portfolio of Fixed Income cash and derivative products.· Degree in Mathematics/Computer Science or a related field.· Project management and leadership skills.· Experienced with management responsibilities - performance reviews and feedback.Desirable skills/Preferred Qualifications:· Experience more »
Salary: £ 70 K
Posted:

Implementation Consultant

London Area, United Kingdom
Artemis Talent Group Ltd
Client Delivery Engineer Location: London Salary: Up to £70,000 Skills: Software Delivery, Python, SQL, API, Financial Services, Derivatives, Equities, OTC, ETD, Asset Management, Data, Implementation, Integration I am working Exclusively with a Scale Up Fintech who provide their clients with bleeding edge analytics software to asset managers who are … services space and work alongside other high calibre individuals. For more information please apply or call Felix @ Artemis Talent Python, SQL, API, Financial Services, Derivatives, Equities, OTC, ETD, Asset Management, Data, Implementation, Integration more »
Posted:

Quantitative Risk Developer - Hedge Fund

London Area, United Kingdom
Capital Markets Recruitment
Our client, a Major Systematic Hedge Fund, is looking to hire a skilled Quantitative Developer to work directly with a highly successful Portfolio Manager and help develop an internal Cross-Asset risk system. This role gives you the opportunity to more »
Posted:

Equity Derivatives Quant

London Area, United Kingdom
Anson McCade
required data, and then coding the production solution. Requirements: 2+ experience working in the financial services industry, ideally some of this being in Equity derivatives with experience in vanilla and exotic products (flow products experience also desirable). 1st class degree with MA/PhD in a numerate field from … a top university. Excellent maths intuition. An intuitive understanding of derivatives and market knowledge. Experience in data analysis using Python based tools. Experience in object-oriented programming in an enterprise-level code base, ideally one of C#, C++ or JAVA. Ability to pick up new skills quickly and thrive in more »
Posted:

Senior Manager (Market Development & Analytics)

London Area, United Kingdom
ICE
Job Purpose The Senior Manager, Market Development & Analytics - Global Derivatives, will be responsible for the planning, creation, and delivery of data-driven insights and analytics tools in support of product and market development functions across ICE’s global commodity and financial derivatives business. This role will be pivotal in driving … analytics initiatives across ICE derivatives exchanges working with cross-functional teams and stakeholders across multiple business areas to unlock business-critical insights, enable evidence-based decision-making, and drive business growth. Reporting to the Senior Director, Market Development & Analytics - Global Derivatives, the role will take a lead on key strategic … development opportunities arising from medium to long term macro market trends evaluating regulatory changes and the potential threats/opportunities to ICE's global derivative markets analyzing the evolution of market architecture and infrastructure, identifying growth opportunities Collaborate and maintain relationships with key stakeholders across ICE exchanges, including senior management more »
Posted:

Senior Derivatives Lawyer - 12 month FTC

London Area, United Kingdom
Simmons & Hanbury
Our client, a global investment manager, are looking for a Derivatives Legal Counsel to join their London office on a temporary basis. The successful candidate will work closely with the legal team and business across a range of hedge fund manager related issues specially focused on derivatives. Key Responsibilities The … via close contacts with advisers and industry bodies, contacts and working groups Working on ad hoc projects within the legal department relating to the derivatives function. Experience Requirements 5+ PQE in a top tier derivatives practice of either a UK or US firm Relevant experience across fixed income, interest rates more »
Posted:

Tech Lead – FX Options – Investment Banking

London Area, United Kingdom
Vertus Partners
best practices in software development, including TDD, Unit, Integration, and regression Testing. Requirements: Excellent core Java experience Extensive expertise in FX Options or other derivatives products such as Swaps, OTC, or Equity Derivatives, demonstrating deep subject matter expertise. Solid understanding of multi-threading, concurrency, and garbage collection. Strong SQL skills more »
Posted:

C++ Quant Developer, Central Derivatives Pricing

London Area, United Kingdom
Winston Fox
Seeking a talented C++ Programmer/Quant Developer in London for the Central Derivatives Pricing team at a Global Top 10 Hedge Fund. Candidates must have direct experience and skills to be considered for this position. Package £150-£200,000 base salary Competitive hedge fund bonus 1x-3x Learning budget … pension, Health/Life/Death Insurance, Gym, Restaurant About the role Contribute to the architectural design of a cross-asset derivatives pricing platform. (greenfield) Code high-performance proprietary Analytics libraries for alpha researchers and portfolio managers Expertise expectation Experience developing Pricing Analytics libraries Requirement Passionate about Computer Science, Mathematics … and Financial Markets Expertise in C/C++ programming Equity Derivatives experience is preferred Proficient in either Python or Matlab is useful Excellent academic record more »
Posted:

Risk Analyst

England, United Kingdom
Botsford Associates
years of financial industry experience to join the Risk Analytics team. Focus of this position is on Market Risk modeling for equity derivatives products. This role is based in the UK. MUST HAVE: Strong modeling experience with Equities Products -Experience with Proxy Methodology -Volatility Modeling -Knowledge of exotic equity pricing … front office, technology, and market risk managers to implement and maintain market risk models. Making key analytical decisions regarding market risk modelling for Equity derivatives positions traded in Europe. Assessing appropriateness of the market risk model outputs by performing time series review and stationarity test, Basel traffic light backtesting and … with 5 - 8 years of previous experience in a quantitative role at a financial institution. Solid understanding of equity pricing models and exotic equity derivative products. Strong programing skills and data handling skills in SQL and Python (ability to wrangle large data sets, implement statistical tests, and perform data analysis more »
Posted:

ION Marketview Consultant

London Area, United Kingdom
Nicoll Curtin
the migration process Apply a deep understanding of bond pricing using PXE to enhance trading applications Leverage knowledge of Rates and Credit Bonds and derivatives products to improve trading strategies Navigate trading venues such as Bloomberg and TradeWeb to ensure smooth operation and integration Utilize Unix and SQL skills for … experience with ION MMI at an SME level Strong understanding of bond pricing using PXE In-depth knowledge of Rates and Credit Bonds and derivatives products Detailed familiarity with trading venues such as Bloomberg and TradeWeb Proficient in Unix and SQL Experience working within agile teams Highly desirable but not more »
Posted:

Product Owner, Fixed Income Pricing - Asset Management FinTech

London Area, United Kingdom
Hybrid / WFH Options
Tempest Vane Partners
in the City with a clear goal to become the first choice trading technology provider with asset managers and financial institutions alike, across the derivatives trading market. The teams are highly collaborative with excellent cross-company communication, and you are trusted to work autonomously with leadership offering guidance and support … mathematics, statistics or quantitative finance. Knowledge of developer workflows and an understanding of financial products and analytics. Knowledge of Fixed Income products and Credit Derivatives is preferred. Exceptional attention to detail, analytical and problem-solving skills. Clear communication including an interest in presenting the product to prospects and clients. more »
Posted:

Performance & Risk Associate

Greater London, England, United Kingdom
Barclay Simpson
My client is offering an incredible opportunity for a Performance & Risk Associate at their renowned multi-asset management firm! Key Responsibilities: Hybrid role focusing on both investment risk and performance analysis. Support the semi-annual private equity valuation process and more »
Posted:

Calypso Business Analyst - Equities

Greater London, England, United Kingdom
First Derivative
First Derivative is a global leader in consulting, business services and technology. We are the home for diverse thinkers and innovators. We know that our people are vital to our success and we are proud of the diverse and vibrant team we have built across the globe. We are committed … Markets Front Office experience within Calypso, with strong asset experience in Equities in particular. Functional cross asset experience in topics such as (FX/Derivatives (Pricing, Valuation), Liquidity/Cash/Fund Management, Cash flows, Settlements (SWIFT), Accounting (General ledger, PnL), MM, Fixed Income, Interest Rates, Credit Derivatives, Equities, Commodities … and maintain traceability throughout all phases of a project. Experience in translating business requirements into functional requirements. Excellent Stakeholder management skills Working for First Derivative: We’re a leading provider of products and consulting services to the capital markets industry, with over 3000 staff globally. First Derivative (FD) is a more »
Posted:

Alternative Asset Credit Risk Manager - (Hedge Fund, Private Equity & IFO) - Vice President

London, England, United Kingdom
Jobleads-UK
. The Credit Risk Manager will be part of the global CCR underwriting function, spanning various products including subscription call facilities, Fund Financing, FX, Derivatives, Prime Brokerage, and structured lending. Candidate should have experience managing alternative managers like Hedge Funds, Private Equity and Institutional Family Offices. Key Responsibilities: Evaluating transactions … on an as need basis, perform quality control of the CAM/Risk Rating Scorecard Negotiation of credit structures and documentation, including ISDA’s, Derivatives Clearing, Prime Brokerage and Repo documents Strong knowledge of Derivatives and structured lending Facilitate relationships with key clients in Banking and Risk Client Relationships/ more »
Posted:

Senior Manager - Derivatives SME, Investment Management & Wealth, Asset Servicing Consulting

Edinburgh, Midlothian, United Kingdom
Hybrid / WFH Options
Deloitte
and thought leadership.Develop trusted relationships with our clients.Learn from the best in the Business.Connect to your skills and professional experience Proven experience specialising in Derivatives at either an Asset Manager or Asset Servicer or equivalentBig 4 Consulting or equivalent backgroundExperience with end-to-end lifecycle of Derivatives Instrument for Front … Middle and Back OfficeGood understanding Listed and OTC derivatives, Clearers, FX prime brokers and custodiansGood understanding of testing support for system migrationsProven ability to mobilise, manage and motivate teams, establishing the specific day-to-day plans, projects and objectives neededExperience in people management, able to lead people and organize work more »
Salary: £ 80 K
Posted:

Capital Markets & Derivatives Associate

London Area, United Kingdom
Interlink Talent Solutions
An exciting opportunity has emerged within our client's esteemed Capital Markets and Derivatives (CMD) team based in London. This is an exciting opportunity offering a diverse scope of work encompassing structured finance, derivatives, and capital markets transactions. They are a forward-thinking firm, operating across 80 offices in … closely with clients and colleagues across Europe and beyond. They foster a collaborative environment, offering stimulating work across a spectrum of challenges, including securitized derivatives, structured products, OTC derivatives, and debt capital markets transactions. About You They are seeking ambitious and skilled Lawyers specializing in derivatives, structured finance, and/… existing skills to new product domains. To excel in this role, you will: Possess 1-5 years PQE Demonstrate experience in drafting and negotiating derivatives and structured finance documentation Capably develop and maintain strong client relationships Exhibit excellent drafting skills, translating legal theory into practical advice Exercise sound judgment and more »
Posted:

Credit Risk Manager, Vice President

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
effectively and appropriate action taken. • Providing ongoing support to Head of Credit Risk with respect to the management and monitoring of various products (e.g. Derivatives/Repo) • Liaising with Head Office as necessary under the process of approval or client monitoring. • The role will demand a hands-on approach, with … bank’s growth strategy. What do you need to succeed? • Minimum 5 years experience in dealing with Vanilla and structured investment banking products (repo, derivatives) • Demonstrated Investment banking credit analysis and risk management experience with hedge funds • Good working knowledge of trading room products including: derivatives, repo and cash trading. more »
Posted:

Director - Traded Product Commercialisation (CIB)

London, United Kingdom
Lloyds Banking Group
based across the UK and in Europe, North America and Asia.In Traded Products we have responsibility for the Product Management of Transactional FX, FX, Derivatives and Interest Rates on behalf of the Ring Fenced Bank (RFB).The Role:You'll be responsible for commercialisation of our Products into the business. … optimally manages key partners to prioritise the right set of business problems and objectivesWhat we'll need from you:Essential:• Product knowledge of FX derivatives – risks for clients and the bank• Consistent record of delivery – a demonstration of delivering versus budget• Strong partner management - adept at bringing colleagues together, leading more »
Salary: £ 70 K
Posted:

Operations Analyst

London Area, United Kingdom
Hybrid / WFH Options
OFS
Job title: Operations Analyst Location: London The Role: An exciting opportunity has arisen for a technically skilled and enthusiastic Senior Operations Associate to join our client's expanding and high-caliber boutique service provider. This role offers comprehensive exposure across more »
Posted:

Deputy Head of Treasury

London Area, United Kingdom
Hybrid / WFH Options
JSS Search
This is an exciting new Deputy Head of Treasury position reporting into the Head of Treasury & Capital Markets at an international bank. Key Responsibilities: Overall management for the Bank’s liquidity profile, ensuring that appropriate levels of liquidity are maintained more »
Posted:

C++ Team Lead

London, United Kingdom
Millennium Management
C++ Team LeadWe are assembling a strong Quant Technology team to build our next generation of in-house analytics and trader support tools. This team will develop and maintain the in-house models and pricing libraries, providing firm wide live more »
Salary: £ 80 K
Posted:

Python AWS Developer

United Kingdom
Harrington Starr
Embark on an extraordinary journey with a visionary FinTech powerhouse, pushing the boundaries of innovation in capital markets and derivatives. Immerse yourself in a world where cutting-edge analytic technology meets unparalleled opportunities. As the Python Developer, you're not more »
Posted:

Product Manager - Financial Risk Management and Systems

Chicago, Illinois, United States
Hybrid / WFH Options
Request Technology - Robyn Honquest
days onsite Looking for a candidate with experience as a product manager/owner agile product manager experience financial services general security markets derivatives knowledge multiple asset classes like equities interest rates volatility commodities foreign currencies risk pillar specify control counter party clearing statements of derivatives financial risk management and … work both independently with minimal direction or oversight in a team-oriented, collaborative environment Experience working in the financial services industry General securities markets, derivatives knowledge required Strong knowledge in multiple asset classes like equities, interest rates, volatility, commodities, and foreign currencies (Risk Pillar Specific) Experience with central counter-party … clearing, settlement of derivatives, financial risk management and regulated capital markets infrastructure Willingness to roll up your sleeves and do whatever is necessary Technical Skills: Proficiency using Jira, Confluence, Tableau and Microsoft Office applications Education and/or Experience: Bachelor's degree MBA, MS or equivalent graduate degree in a more »
Employment Type: Permanent
Salary: USD Annual
Posted:
Derivative
10th Percentile
£67,000
25th Percentile
£85,000
Median
£115,000
75th Percentile
£146,250
90th Percentile
£165,000