of investment fund accounting and an ability to think through the investment process; Accounting experience with traditional fixed income securities, bank debt/loans, equities, and FX hedging transactions; Candidate must have strong Excel and knowledge of financial formulae more »
and colocation software, to maximize trading efficiency and PnL. Your Essential Qualifications Proven experience in algorithmic trading, particularly within the futures markets (Crypto, Commodities, Equities, Fixed Income). Advanced quantitative skills, with an exceptional background in Mathematics, Computer Science, Engineering, or a related field. Expertise in successful high-frequency trading more »
trading. Key Responsibilities: Research and analyze market data to identify patterns, trends, and opportunities for alpha generation. Develop and implement algorithmic trading strategies across equities, futures, options, and other asset classes. Conduct backtesting and simulation analysis to evaluate the performance of trading models and optimize parameters. Collaborate with traders and more »
to the Head of MiFID and will work closely with other staff and members across a wide range of product and policy committees, including equities, fixed income, investor protection, compliance and advocacy. You will support the Head of MiFID, the MiFID Steering Committee and other MiFID team leaders with respect more »
also be able to communicate effectively and express complex ideas clearly and succinctly. You will report directly to the Senior Portfolio Manager heading European equities, a 20-year+ equity investor veteran. You will be working in a fast-paced, performance-oriented environment with a high-achieving team who is driven more »
Pacific and North America. CMC Markets’ success is founded on its ability to deliver a wide range of trading products to customers, from single equities to indices, currencies and commodities. The role of an Account Executive is to provide a continuous daily mix of exceptional relationship management, business development as more »
Greater London, England, United Kingdom Hybrid / WFH Options
MSCI Inc
RiskMetrics models and software a plus. Deep understanding of global financial markets, including modeling and pricing of different asset types in the fixed income, equities, commodities, and credit markets and their derivatives Knowledge of the main European regulatory frameworks for asset managers and banks Superior communication and time management skills. more »
900m across 19 mandates. The business is also launching several new Funds and individual transactions, with an opportunistic and value add focus, covering Credit, Equities and Direct Real Estate, to take advantage of current dislocation in the real estate markets. Martley Capital has asset and investment management advisory mandates, drawing more »
PM's strategy is market neutral, trading across global names and adjacencies. About you 2+ years' buyside experience with some focus on European Industrials equities Ideally working in a Long/Short Equity team Strong financial modelling skills and track record of idea generation Excellent academic qualifications more »
Job Responsibilities: Develop systematic strategies that use statistical signals associated with various market inefficiencies applied to a broad variety of asset classes including global equities and/or ETFs, futures, currencies and options Independently lead, manage and grow quantitative investment portfolio (portfolio will have a separately identifiable track record) Autonomy more »
Role: Macro Quantitative Researcher - Linear Rates, FX, Volatility and Equities Location(s): London Base salary can go up to £250,000 plus bonus Relocation or sponsorship is not available for this role! Ideal Candidates will have worked for a Buy-side Firm Search Technology are incredibly proud to have partnered more »
This person should already be approved by the FCA and have been in Senior Management Functions. Duties & Responsibilities: Overseeing the trade execution process for equities, FX and derivatives Compliance function with the support of external consultants Coordination with third parties providing outsourced functions (IT, cyber-security, accounting, website, distribution among more »
the fund of funds strategy. This involves monthly reconciliation on the positions, utilising Bloomberg to confirm prices across a wide variety of positions (e.g., equities, bonds, derivatives) and consolidating these entries using their models to create weekly/monthly performance reports. The other focus will be supporting senior managers in more »
Basic FCA knowledge – client classifications, conduct of business rules, training and competence, Approved Persons and FCA processes. Knowledge of the firms’ products including cash equities and securities, equity and commodity derivatives and money markets Knowledge of cash and derivatives exchange rules e.g. Euronext, Eurex, LSE Experience of dealing with formal more »
access to global markets, and delivering integrated transaction banking solutions. In 2023, we acquired Cowen Inc., offering our clients access to a premier U.S. equities business and highly-diverse equity research franchise, while growing our strong, diversified investment bank. We are growth-oriented, people-focused, and community-minded. As a more »
that the purchase proceeds are tracked into the Bank, and that the purchased equity is cancelled Provide safekeeping and storage for non-UK registered equities in the London vault and under instruction receive, return or destroy these certificates Support the residual processing activity in Crest through delivery and receipt of more »
quantitative researchers with proven experience in applying Natural Language Processing for Equities. We are looking for individuals with proven experience in applying NLP to Equities data at a buy-side firm. more »
Execution Trader - Equities/Commodities/Index Leading London-based trading firm has an outstanding opportunity for a trader to join their low latency trading team. Our client is a leading quant prop trading and market-making business. They operate across CFD's, Commodities and Equities. The Execution Trader will more »
proven experience in the investment industry as a GEM equity portfolio manager Required Qualifications, Skills and Knowledge A strong knowledge of Global emerging markets equities A strong understanding of macroeconomic dynamics and how they influence equity markets A proven and positive track record in generating alpha using a disciplined investment more »
services that help portfolio managers with idea generation, portfolio construction and trading. Under the guidance of technology management, the engineer will also interact with equities management, risk research quants and investment professionals to understand requirements and offer technical solutions. The engineer should be self-motivated, detail oriented, organized and able … Java, namely multithreading, accompanied with some Python is also acceptable Advanced SQL. Experience with cloud technologies is a plus (AWS, Snowflake, etc) Familiarity with equities and equity derivatives within a real-time electronic trading environment is required Strong communication skills; ability to liaise with investment professionals, risk research quants, and more »
Greater London, England, United Kingdom Hybrid / WFH Options
Augmentti
new offices in under 10 years while consistently delivering double-digit returns. They are truly diverse (not your typical HFT) trading everything from traditional equities to High-Frequency FX, longer-term commodities and even Crypto. The management team have been together through multiple iterations, building very successful businesses along the … Interface, User Interface, Native, WxWidgets, Wx, MFC, Microsoft Foundation Class Library, Win32, C++, C ++, C++14, C++17, C++20, C++23, Quant Fund, Hedge Fund, Finance, Equities, Futures, FX, Crypto, FICC, Fixed Income, Cross-Asset, Multithreading, Linux, Unix, High Frequency, High-Performance, High Performance, Low-Latency, Low Latency, Real-Time, Real Time more »
data analytics to extract meaningful insights, providing a competitive edge in portfolio management strategies. Ideally have a working knowledge of the front office, and equities as an asset class Tech Stack: Python, Flask, SQL, Excel, UI (React/Angular), ETL Pipelines Please apply if you would like to work for more »
Alpha Contributors who are strong technically and in quality alpha capture. This is for someone with experience in either Future's, Fixed Income, Credit, Equities, or FX. This position is global (Depending on approval) WE ARE ALSO LOOKING FOR ALPHA GENERATORS WHO WANT TO BE INDEPENDENT AND WANT TO BUILD more »
Python Developer - Equities Trading - Global Hedge Fund Our client, a Global Hedge Fund, are looking to continue to build their Equities business by expanding it's technology operations in the UK. They are looking for a Python Developer who can understand and solve deep, complex problems pertaining to their Equitiesmore »
high-performing team and shape the future of their business! We represent a leading London hedge fund with a strong presence across Derivatives, FX, Equities, and Commodities. They foster a collaborative and ambitious environment that encourages growth and development. The Opportunity Their Calypso team is seeking a talented Java developer … 4+ years of experience working with Java (Calypso is a plus) CI/CD Fair understanding of some of the products traded; rates, FX, equities, credit and commodities. Top Tier University (2:1) or above is required. Ready to take your career to the next level? Contact Ciara Clarke at more »