am looking for: At least 3 years’ experience in algo/quant development Demonstrated commercial experience in a financial institution - knowledge of pricing models, derivatives, experience of interest rate curves, vol surfaces etc Excellent C# .NET programming skills Regrettably these roles are only open to British citizens, EU Citizens with more »
code in a high level programming language such as Java Desire to work with new and emerging technologies Experience with Trading/Low-latency (Derivatives, FX, etc) Familiarity with Matching Engine components Build automated tests Collaborative nature, keen to deliver solutions in conjunction with Business Analysts and Senior Developers Up more »
/experience: Experience of the Front Arena 4 track. Experience of custom model integration. Experience of other Trading Systems. MS SQL Knowledge of Financial Derivatives This is a 6 month contract based in London. Do send your CV to us in Word format along with your daily rate and availability. more »
regular liquidity scenario analysis, monitoring liquid asset buffers, analysis and oversight to liquidity usage, seeking cost saving opportunities. Manage securities, FX and/or derivatives positions for client driven transactions or for internal asset liability management purposes. Perform market analysis and research, provide internal training if required. Assist to implement more »
our Commodities traders and ensuring smooth execution of physical commodity transactions. This hedge fund invests across various asset classes, including Equity, Fixed Income, FX, Derivatives, Commodities, and Cryptocurrencies. As part of the supportive Operations function, you will bring: Demonstrable knowledge of the full lifecycle, including aligning physical positions with trading more »
experience in XVA or Rates or FX gained in FO, Model Val or Risk IT • Advanced programming skills in C# (preferred) or C++ • Excellent derivatives understanding, particularly in Rates, or FX models, & hedging • Familiar with Capital Regulations • Stochastic calculus, e.g. brownian motion; algorithm complexity; CVA estimates • PhD or MSc in more »
Demonstrable experience of dealing with the regulatory change agenda in the asset management sector. Understanding of different asset classes, including equity, credit, fixed income, derivatives and alternative investments. Excellent working knowledge of FCA rules and industry best practice. For further information please contact Spencer Evans more »
in Physics, Mathematics, Quantitative Finance or Financial Engineering Strong mathematical knowledge 5 years experience in a Fund or Investment Bank Strong knowledge in financial derivatives products in multiple asset classes Proven ability to apply risk management models and techniques such as Value at Risk models, Liquidity Risk models, backtesting and more »
and methodologies pertaining to, and the calculation of, investment performance and attribution across a range of asset classes, including equities, fixed income, FX and derivatives It is hopeful that you will also have a working knowledge of basic risk principles, and certainly a desire to learn them Possess an extremely more »
for policy development in relation to market, trading credit and/or liquidity risk as it relates to (but not limited to) trading/derivative products. Review the ILAAP as the 2LoD and perform deep dive controls reviews of the regulatory returns for liquidity. Perform 2LoD support on liquidity stress more »
funds, ideally gained within an asset manager however we will also consider individuals from sell side Proficient in the use of FX and financial derivatives (e.g. futures, forwards) Skilled or capable of reading and interpreting index methodologies to inform portfolio management decisions Strong understanding of financial markets and corporate events more »
understanding of Credit Risk LGD and EAD Models RWA Calculation Controls & Reporting Excellent Product Knowledge Lending Trade and Receivables Finance Treasury Products Traded Products (Derivatives, Repos) Knowledge Change management Excellent understanding of the programme/project lifecycle Excellent understanding of HSBC Business Transformation Frameworks and best practice techniques. A thorough more »
match pension scheme and insurance company liabilities Development of the infrastructure, services and architecture that support and provide pricing, risk and analytic tools for derivatives and derivative strategies for the Solutions tech platform Support new product developments, ensure relevant instruments are priced and analysed in line with market conventions and more »
DERIVATIVES OIL TRADERS : London or Dubai or Spain or Remote Would like to talk to Traders with base salaries £100,000 to 200,000 p.a. P&L Bonus to 35% paid quarterly Desk cost from $250k per year London or Dubai or Spain OR Hybrid working options An international Hedge … an Investment Bank and an established Physical Oil Trading firms based in London, Dubai & Spain are looking expanding their Commodity desks with new experienced Derivative Trader roles. If your desk P&L is £5m+ or above then we would love to hear from you ! These exciting opportunities are working with … Asian Investment Bank and Physical Commodity Trading form and a Spanish based Refinery/Oil Trader. They specialize in trading various financial instruments, including derivatives in the oil market. Role: The Oil Trader (Derivatives) will play a pivotal role in executing and managing derivatives trading activities in the oil market. more »
is seeking an elite data analyst to join their team based in London. The successful individual should have an excellent understanding of fixed income derivatives from both a technology and trading perspective. The candidate will need to build advanced excel sheets, using market data (Bloomberg) and internal quant libraries, and more »
to research, communicate effectively Develop QIS tools Strong python – starting to work more on their centralised systems. Fixed Income knowledge, Strong understanding of Swaps, Derivatives, Volatility, and FX Researching, designing fixed income quantitative investment strategies Running or able to run their your own franchise – develop, publish and be client facing more »
this contract you will be working in a core java environment for a FS environment on multiple projects. You must have experience with OTC Derivatives and React .JS Kite Human Capital – Hire Better We are unashamedly focused on working with only the best people, who care about customer value and more »
Greater London, England, United Kingdom Hybrid / WFH Options
Radley James
in a risk/analytics/pricing development environment Strong coding ability in C++ or Python with exposure to both languages professionally Experience in derivatives/options development environments highly beneficially but not a hard requirement A business focused development mindset Hybrid work model, highly competitive compensation on offer more »
projects. Initial 6 month contract – 2/3 days in their London office Key requirements: Change/Business Analyst Financial Market infrastructure experience (essential) Derivatives Swift Kite Human Capital – Hire Better We are unashamedly focused on working with only the best people, who care about customer value and maintain a more »
and Non-technical projects.Initial 6 month contract – 2/3 days in their London officeKey requirements:Change/Business AnalystFinancial Market infrastructure experience (essential)Derivatives SwiftKite Human Capital – Hire BetterWe are unashamedly focused on working with only the best people, who care about customer value and maintain a fantastic working more »
practice or the banking industry. Proven experience within a technical role, advising on transactions, ideally with a focus on banking and financial services. Strong derivatives accounting knowledge (ideally within Commodities) Expert knowledge and experience of IFRS9 accounting standards. Demonstrate a commercial mindset, with prior experience in translating technical theory into more »
rigorous scientific research. Comprises a combination of systematic and fundamental businesses, naturally designating high commercial impact. Trading in a range of areas, spanning weather derivatives to natural gas & power. Driven by some of the most sophisticated alternative data sets the domain has seen. The Role Sat directly with salespeople and more »
Ensure compliance with FCA authorization and operational risk framework Skills Required Strong understanding of structured products in financial institutions - essential. Familiarity with Cross-Asset Derivatives (Equity, Commodity, FX, Rates, Credit). Knowledge of vendor systems like Sophis, Calypso etc for Structured Product Trade Lifecycle. Ex-developer background, experience managing Dev more »
years of industry experience, with at least 2+ years on the buy side or with a Tier 1 administrator Strong product knowledge across equity, derivatives, futures, options, and FX Experience with fund structures and valuation Proficiency in systems such as Enfusion, AlphaDesk, Watson Wheatley iRecs, etc. Excellent Excel and IT more »
in delivering pragmatic and proportionate compliance support, monitoring and training solutions A good understanding of public market asset classes; including equity, credit, fixed income, derivatives and alternative investments. Demonstrable experience of Public Markets Compliance. Demonstrable experience of dealing with the regulatory change agenda, and in particular impact of Public Markets. more »