Permanent Derivative Jobs in London

101 to 125 of 168 Permanent Derivative Jobs in London

Trade Support Engineer

Greater London, England, United Kingdom
GFO-X
new segregated clearing service, LCH DigitalAssetClear. GFO-X services large global institutional participants who require a regulated, institutional-grade trading venue for digital asset derivatives, including bitcoin index futures and options. Reporting to the Team Lead, the successful candidate will participate in the daily operations of our globally distributed technical more »
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Quantitative Researcher/Trader, Cryptocurrency

London Area, United Kingdom
Radley James
grown 4 key global business lines across three continents (with a focus on the UK); market making, quantitative prop trading, OTC trading, and a Derivatives business specifically options trading for crypto. They are looking for Quant Researcher/Traders to join either the market making or quantitative proprietary trading businesses more »
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Lead Quant Research Developer - Pricing

London Area, United Kingdom
Algo Capital Group
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 »
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Cross Asset Sales - Associate/VP

South East London, England, United Kingdom
Leverton Search
outlook.Ideally Strong python – starting to work more on their centralised systems.Ideally Quant Investment Solutions and systematic strategy experienceFixed Income knowledge, Strong understanding of Swaps, Derivatives, Volatility, and FXAble to run with ideas, a good writer, developing thought leadership. This is an opportunity to work in a collaborative and market leading more »
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Carbon and Power Senior Trader

London Area, United Kingdom
Commerzbank AG
on various carbon projects in order to assess their suitability and liaise with the Sustainability team to select projects. Sharp technical expertise in Energy derivatives contracts. The successful candidate will have a solid understanding of the various Energy supply and demand fundamentals in Europe. Robust understanding of the key end more »
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Legal Counsel

London Area, United Kingdom
DeFi Recruitment
team, such as COO, CEO, etc. Responsibilities Lead legal-commercial negotiations: draft and negotiate agreements in relation to our business lines (OTC, liquidity provision, derivatives documentation, trading agreements, software agreements, and others) Regulatory research & compliance guidance: work closely with the General Counsel and Deputy GC to monitor the legal and more »
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Infrastructure Engineer – London, UK

London Area, United Kingdom
GFO-X
new segregated clearing service, LCH DigitalAssetClear. GFO-X services large global institutional participants who require a regulated, institutional-grade trading venue for digital asset derivatives, including bitcoin index futures and options. The successful candidate will join the Infrastructure team, report to the Head of Infrastructure, work with developers and project more »
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Regulatory Affairs Manager ASIC/MAS

Greater London, England, United Kingdom
Hybrid / WFH Options
Control Now
needed for making informed decisions on the company's commercial strategy. Person Specification · Regulatory Knowledge: minimum 2 years of experience with ASIC and MAS derivatives trades reporting regulatory requirements. · Business Analysis and Communication: Ability to understand complex documentation related to regulations and to summarise it into digestible content and communicate more »
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Product Controller | Hyper Growth Fintech Start-Up (Crypto)

London Area, United Kingdom
Harmonic Finance™ | Certified B Corp
out profit and loss (P&L) reporting - including working with Trading team to improve and enhance existing tools & processes across all products traded (spot, derivatives) Investigate and resolve discrepancies between trading systems and accounting records. Identify and manage financial risks associated with the business and implement/maintain controls to more »
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Project Manager with ETD- Exchange Traded Derivatives- City London

City London, London, England
Nexus Jobs Limited
Job Description Years of relevant experience 2+ years Education Level Bachelor's Degree About the Job We are looking to recruit a Project Manager with 2 to 4 years' experience reporting into a programme manager. You will be responsible for more »
Employment Type: Permanent
Salary: £300 - £400
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Fund Operations Team Lead

London Area, United Kingdom
Ad Idem Consulting
investment manager looking for someone to oversee a team of 2 Analysts in the Fund Operations team for a 12 month maternity cover. Strong Derivatives understanding is required. Role: Supervision NAV production for all global funds. Coordinate all NAV oversight reconciliations. Represent NAV oversight team in internal project working groups more »
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DevOps Engineer - Trading

London Area, United Kingdom
Hybrid / WFH Options
Harrington Starr
WFH £60,000 - £80,000 Company Overview Join a leading firm at the forefront of the industry that specialises in fueling liquidity in global derivatives markets, with a strong emphasis on options market making. Using cutting-edge technology, to foster an environment of continuous growth, innovation, and teamwork. Role Overview more »
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Senior Core Compliance Officer, Crypto

London Area, United Kingdom
Hybrid / WFH Options
dnevo Partners
Compliance related matters. Support Regulatory change initiatives and projects. Who you are Strong product knowledge covering multiple asset classes with a focus on cryptocurrency, derivatives (Futures, Options, Swaps) and structured products. Significant experience in a similar role covering Monitoring, Surveillance and/or Testing Strong analytical and organisation skills. Excellent more »
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Model Risk Quantitative Analyst

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
and Front Office teams Work on projects impacting the valuation and risk calculations of the MHBK,MBE and MHI on Treasury, structured, fixed incomeand derivatives positions. Work on quantitative issues and projects, particularly pertaining to valuation, risk calculations and financial modelling for Credit, IR, FX and Inflation derivatives across MHBK … knowledge of financial markets, products, methodologies and financial analytics including an understanding of the key concepts of Interest Rate, FX and Inflation curve building, derivative instrument pricing & risk and XVA. Experience in Model Validation and Model life-cycle management. Experience of source code control systems such as Team Foundation server … or Git-Hub Knowledge/experience in Inflation Derivatives valuation and risk. Experience of Microsoft SQL Server and TSQL, or other DBMS What Mizuho can offer you Here at Mizuho, there are fantastic progression opportunities and clear paths to promotion. We will give you ample opportunity to affect change and more »
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Quantitative Researcher

City of London, London, United Kingdom
CMC Markets UK Plc
in the financial markets. In order to expand this team, we are looking for an experienced Senior Quantitative Analyst to join our fast-growing Derivatives team. The right candidate will have responsibility for the full cycle of our pricing models including development, improvement, testing, and validation covering an expanding product … range . Those models include valuation models of Derivatives, calibration of volatility and interest rate curves. This role will offer a varied and fast-paced working environment, regularly interacting with the dealing, operations, risk and IT development teams. This is an excellent opportunity to be sitting in the core of … standards guaranteeing that the firm remains at the forefront of innovation and trends. Where new models are required to support the development of the Derivatives offering, conduct research and evaluate most appropriate course of action. Evolve where required to fit the specific needs of the team. Coach and mentor younger more »
Employment Type: Permanent
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Quantitative Risk Analyst

London Area, United Kingdom
BGC Group
and Toronto. Group Description The Capitalab division is a quantitative financial technology group within BGC, founded in 2015, responsible for optimising portfolios of financial derivatives for global investment banks and non-bank liquidity providers. Based in London, Singapore and Toronto, the teams work directly with Capitalab management to develop innovative … revenue-facilitating, market-leading services within the industry. Capitalab focuses on multilateral derivatives compression and optimisation. It has eliminated over $10 trillion of gross notional and generated over $30 billion of Initial Margin savings for its global clients across Interest Rate Options (Swaptions + Cap/floors), Interest Rate Swaps … of mathematical optimisation and tools (ex. Gurobi or NAG) Development experience in Python Web development experience in JAVA and Angular Familiarity with financial mathematics, derivative pricing and risk management Appreciation of good software architecture including design patterns & SOLID principles Experience with unit test frameworks, mocking frameworks and patterns for testability. more »
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Quantitative Analyst, Credit Derivatives - 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 … play a key role in the development and enhancement of their in-house pricing and risk models, working across a range of securities and derivatives, with a focus on Credit. The models are implemented in the Quant Library, which is written in C++. Play a key role in the building … in a quantitative analyst role in a trading. Experience of modelling and implementing pricing libraries. Strong development skills in C++ skills are essential. Credit Derivatives experience is beneficial, however they will consider candidates from other areas of Fixed Income, especially Interest Rate Derivatives and XVA. A Master's degree or more »
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Senior Software Engineer (VP) - Front office

Greater London, England, United Kingdom
Harrington Starr
role in the development team, contributing to the creation of high-quality pricing and risk analytics platforms for their listed and OTC cross-asset derivatives business. Responsibilities: Design, code, and test all components of modern applications. Contribute to the overall architecture and design of technology within the delivery team. Develop … third-line support issues in a professional and timely manner. Qualifications: C#/.NET proficiency Experience with Python nice to have. Understanding of structured derivatives, especially in Equities and commodities markets Strong multi-threading experience Cloud technology experience, ideally with AWS Knowledge of BDD/TDD If you are seeking more »
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Senior Equity Derivatives Developer

London Area, United Kingdom
Albany Beck
Role Title: Senior Equity Derivatives Developer This Front Office hands on development role requires skills in an object-oriented language, C#/.NET, C++ or Java. The successful candidate will be part of a wider regional and global team, leading our offshore resources on a new initiative to strengthen our … Derivatives technology on behalf of our growing EU Derivatives business. They will have worked on similar roles and platforms in the past, and been personally and deeply involved in the build, enhancement, and support of complex platforms in a fast-paced front office environment. Whilst part of a wider team … they must be able to work independently, be a self-starter, and seek input at the appropriate times where necessary. Experience working in Equity Derivatives or a closely related area a definite plus, but the candidate should demonstrate a willingness & ability to learn quickly. You should have experience and understanding more »
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Senior Software Engineer (VP) - Front office

South East London, England, United Kingdom
Harrington Starr
role in the development team, contributing to the creation of high-quality pricing and risk analytics platforms for their listed and OTC cross-asset derivatives business.Responsibilities:Design, code, and test all components of modern applications.Contribute to the overall architecture and design of technology within the delivery team.Develop solutions to a … defined development processes.Resolve third-line support issues in a professional and timely manner.Qualifications:C#/.NET proficiencyExperience with Python nice to have.Understanding of structured derivatives, especially in Equities and commodities marketsStrong multi-threading experience Cloud technology experience, ideally with AWSKnowledge of BDD/TDDIf you are seeking the next step more »
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Risk, Model Validation Quant, AVP

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
a broad quantitative role and requires an individual with the diversity of skills to contribute to all relevant quantitative aspects of Market Risk and derivatives Valuations. What will you be doing? • Support the Head of Model Risk Management in MR related activities. • Produce independent and accurate model validation analysis and … Work closely with the RA team • To work on projects impacting the valuation and risk calculations of the MHBK and MHI Treasury, structured and derivatives positions. • To provide subject matter expertise in quantitative issues and projects, particularly pertaining to valuation, risk calculations and financial modelling for IR, FX and Inflation … derivatives across MHBK and MHI. • Develop, implement and support new and existing in-house financial analytical models and libraries • Building Python and VBA script to automate the model revalidation process • Work closely with teams such as European Valuations and Risk Systems Engineering function to ensure the effective and accurate implementation more »
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Analyst - Operations, Loans, Loan Closing, Asset Management, Credit, Bonds, Private Equity, Equities

South East London, England, United Kingdom
Strategic Staffing Solutions
Job DescriptionAnalyst, Operations, Loans, Loan Closing, Asset Management, Alternatives Private Execution and Closing, Banking, Loan, Loans Closing, Deals, Closing, Equities, Bonds, Derivatives, FX, Foreign Exchange, Financial Services, London, Contract, Contract to Perm.My client is looking for an Analyst to work within an Asset Management Alternatives Private Execution and Loans Closing … to propose operational solutionsInteract with senior stakeholders and drive prioritiesSkills:LMA Loan Closing experience is a mustCredit, Loans, Equities/Private Equity , Bonds and Derivatives experienceCandidate must be comfortable in a high pressure environmentConfident in their verbal and written communication, especially with senior audienceStrong problem solving and presentation skillsHigh attention … to detail Innate curiosity and driveAble to work well in a team environment - across teams and regionsPrior knowledge of Loans, Equities, Bonds and Derivatives preferredPlease note this role is inside IR35/Umbrella and you will be expected in the London office 5 days per week.£400 - £500 per day more »
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Analyst - Operations, Loans, Loan Closing, Asset Management, Credit, Bonds, Private Equity, Equities

Greater London, England, United Kingdom
Strategic Staffing Solutions
Analyst, Operations, Loans, Loan Closing, Asset Management, Alternatives Private Execution and Closing, Banking, Loan, Loans Closing, Deals, Closing, Equities, Bonds, Derivatives, FX, Foreign Exchange, Financial Services, London, Contract, Contract to Perm. My client is looking for an Analyst to work within an Asset Management Alternatives Private Execution and Loans Closing … solutions Interact with senior stakeholders and drive priorities Skills: LMA Loan Closing experience is a must Credit, Loans, Equities/Private Equity , Bonds and Derivatives experience Candidate must be comfortable in a high pressure environment Confident in their verbal and written communication, especially with senior audience Strong problem solving and … detail Innate curiosity and drive Able to work well in a team environment - across teams and regions Prior knowledge of Loans, Equities, Bonds and Derivatives preferred Please note this role is inside IR35/Umbrella and you will be expected in the London office 5 days per week. more »
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Portfolio Construction

London Area, United Kingdom
The FISER Group
Bruin has partnered with a French Asset Manager, who are a seeking an experienced Portfolio Constructor to join their Treasury and Exposure Management team. The selected candidate will play a vital role in providing passive non-discretionary portfolio management services more »
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Quantitative Risk Developer - Hedge Fund

London, England, United Kingdom
Capital Markets Recruitment
Job Description 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 more »
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Derivative
London
10th Percentile
£67,500
25th Percentile
£85,000
Median
£115,000
75th Percentile
£146,250
90th Percentile
£165,000