PyTorch, with hands-on experience in developing and deploying machine learning models in production environments. Familiarity with financial markets and trading concepts, including equities, derivatives, options, and futures, coupled with a strong quantitative background and analytical mindset. Experience with cloud computing platforms such as AWS, Azure, or GCP, and containerization more »
Settlement, Technology, Finance, and Compliance) and the ability to face off to key stakeholders with strong credibility.Key areas of product knowledge to include OTC derivatives, Fixed Income and Equities.An understanding of the key market, global and regulatory drivers shaping the industry and an ability to articulate these by way of more »
Corporate Actions, working closely with the Equity Trading desk. This rapidly expanding hedge fund invests across all asset classes, including Equity, Fixed Income, FX, Derivatives, Commodities, and Cryptocurrencies. As part of the supportive Operations function, you will be responsible for various operational tasks within the Equities space. The Middle Office more »
Senior Quant Developer ROLE DESCRIPTION Our client is looking for an experienced C++/Python developer specialising in Structured Equity Derivatives with the ability to lead small teams. You will be expected to: Assist the design and implementation of pricing, risk and P&L infrastructure surrounding the core pricing library more »
experience within investment risk management within the asset management or financial services industry with a focus on equities Extensive knowledge of capital markets and derivatives instruments Extensive knowledge of risk models, analytics and stress testing Strong quantitative skills Strong analytical and problem solving skills with good attention to detail Excellent more »
Greater London, England, United Kingdom Hybrid / WFH Options
Harrington Starr
in Finance. If you are interested in working on desk alongside Traders/Quants and have strong domain knowledge in Pricing, Risk or Structures Derivatives this could be for you. The Details: · Hybrid working central London office. · Market leading bonus structures. · Up to £150,000 basic depending on experience. · Need more »
working in a DevOps environment. Bachelor’s degree in Computer Science or related field. Financial services experience, especially in e-Trading/HFT/Derivatives Trading support. Excellent English communication skills. If you're interested in this role please apply below with your CV attached. Kind regards, Muireann more »
educated (or possess professional qualifications such as CFA, CAIA, or FRM) and will bring 5+ years fixed income operations experience focused on credit instruments, derivatives, and financial markets, preferably gained in a hedge fund or asset management firm. Experience of working with Prime Brokers and a strong knowledge of Cayman more »
in investments, particularly in corporate asset classes. •Knowledge of company investment analysis is an advantage, as are knowledge of any of equities, credit, or derivatives markets. •Curiosity and willingness to learn. •Good interpersonal and communications skills. Insight Investment is an equal opportunities employer and makes employment decisions without regard to more »
Quant Research Developer - Vol Pricing A Global Market Leading Trading Firm is seeking a Senior Quantitative Research Developer to lead the building of equity derivatives and vol pricing models. The firms integrates innovative technology into trading strategies, utilizing a sophisticated research platform as well as pricing and risk models to more »
to-day Compliance support, guidance and advice, while performing key Compliance projects, monitoring and assessment responsibilities. ETD core business activities include FX, Loans and Derivatives sales and trading, and asset/liability management for the Bank London Branch. In performing this role: You will identify, understand and help imp lement more »
Job Title: Derivatives Negotiator - Loan-Linked ISDAs Job Type: 12 months contract Location: London (on-site) Salary: Competitive rate Resource Solutions has an exciting opportunity for an ISDA/Derivatives Negotiator with Loan-linked ISDAs to join our client, a leading investment bank and financial services company. Role Objective: As … the derivatives and financing documentation negotiator, you will focus on institutional clients of the Fixed Income, Commodities, and Finance Divisions of the company. The role involves collaborating with various areas of the company, interacting with external clients, and negotiating different types of derivative documentation. Your key responsibilities include but are … not limited to: Identifying necessary documentation for the clients to trade securities or OTC derivatives and performing related due diligence scans. Drafting and negotiating legal documentation (including master agreements, amendments, and ancillary documents such as ISDA, MRA, DF-related documents, CDEA, ACAs, etc) Handling client negotiations and any related projects more »
Fullstack Developer Java/Angular/AG GRID/Blotter/Financial Services Contract - £650 per day (Inside IR35) We are working with a financial services client who are looking to rewrite and improve their current trading application across multiple more »
driven targets. KRI and Risk Reporting, ensuring our metrics capture Key Risk Indicators and escalate emerging risks appropriately. Assist with the evolution of the Derivatives Support function, evaluate the go-forward operating model and enable new business initiatives. Work closely with technology, establish required system enhancements, drive prioritisation and plan … compliance. Clear and timely escalation of any issues to management, ensuring any risks are fully understood. Role Experience: The role requires SME knowledge of Derivative products, including cleared & bilateral swaps, Swaptions, CDS, CDS Index Options & ASCOTs. Experience in supporting cleared flows via brokers or direct memberships of CCPs. Strong understanding … of front-to-back Derivative flows, from trade booking to life-cycle management and settlement. Able to be flexible and work to tight deadlines but maintain the very highest standards. Identify risks, ensuring robust control environment and high operating standards. Equivalent experience at an Investment Bank, working in a Derivativemore »
home per week. You will responsible for full system implementation projects and proof of concept (POC) projects, project management, client on-boarding, optimisation, scripting, derivatives and/or trading lifecycle understanding, etc. You will ideally have between 3-5 years experience within Project Management and Prime Brokerage. You will have … knowledge of Financial Markets, ideally within Derivatives and/or the trading lifecycle. Agile and PRINCE 2. Please apply for immediate interview. more »
for executing client trades, managing risk, and optimizing trading strategies. This role offers an exciting opportunity to utilize your expertise in FX markets and derivatives to drive profitability and ensure client satisfaction. Key Responsibilities Execute client trades in spot FX, forward contracts, options, and other derivatives. Monitor market conditions and … as an FX dealer or trader, with a strong track record of success in executing trades and managing risk. Deep understanding of FX markets, derivatives, and trading strategies. Excellent analytical and problem-solving skills, with the ability to make quick decisions in a fast-paced environment. Strong communication and interpersonal more »
My leading Investment Bank client are looking for a Trade Reporting Specialist to join their Transaction Reporting team within Capital Markets Operations. You will provide strategic direction on the operational controls and analytical tooling surrounding Capital Markets Regulatory reporting. You more »
driven targets. KRI and Risk Reporting, ensuring our metrics capture Key Risk Indicators and escalate emerging risks appropriately. Assist with the evolution of the Derivatives Support function, evaluate the go-forward operating model and enable new business initiatives. Work closely with technology, establish required system enhancements, drive prioritisation and plan more »
other teams to ensure seamless operation and efficient delivery. Your responsibilities will encompass all major markets across regions and various asset classes, including equities, derivatives, FX, and options. Providing leadership and guidance, you will cultivate a culture of collaboration and productivity while actively engaging in hands-on development and conducting more »
Experience with TDD/BDD frameworks like xUnit and SpecFlow Desirable Experience: Familiarity with Domain-Driven Design (DDD) Previous exposure to financial products and derivatives, particularly commodities Experience in front-office or electronic trading systems more »
and verbal communication skills Previous experience managing senior internal stakeholders and incorporating their change feedback to refine the product roadmap Knowledge of treasury/derivatives platforms would be helpful Technical Skills: LAMP Stack applications. Python Django Framework AWS or other cloud based Application architecture MySQL JavaScript React.js Experience with JIRA more »
the following experience: Deep Market Risk knowledge, preferably from a Tier One Bank or Hedge Fund. Strong Python or Java coding experience. Cross Asset Derivatives experience, with a deep understanding of working with Front Office Stakeholders. A Degree from a Top Tier University in a Quantitative/STEM Field. This more »
applications and initiatives. Desirable Candidates: 4+ years of relevant experience ensuring data quality Bachelor’s degree in a STEM field Experience with Equities, OTC Derivatives (options, swaps, futures), fixed income, and money markets Familiarity with Bloomberg, LSEG, ICE, etc.; IVP familiarity is a plus Experience with Excel and basic SQL more »
Ability to conceptualize and perform calculations related to a portfolio of investments and derivatives. Working knowledge of investment strategies used in portfolio management, including derivatives and short positions. Experience reviewing investment guidelines, Offering Memorandums, and Investment Management Agreements. Experience monitoring portfolio investment requirements associated with UCITS, 3(c)(7) funds more »
advanced financial modeling and quantitative analysis to design and evaluate structured products. Leverage in-depth knowledge of various asset classes, including equities, fixed income, derivatives, and alternative investments. more »