a quantitative field such as statistics, mathematics, engineering, financial engineering/economics, or a related discipline. Proficiency and practical experience in credit investments and fixedincome, encompassing the development and maintenance of risk frameworks and models. Experience in portfolio construction is advantageous. Proficient programming abilities, with a preference more »
to either a Windows or a Linux environment. Experience with Front Office Support. Good understanding of trade lifecycle and exposure to multiple asset classes (FixedIncome is a preference). SQL knowledge is desirable. This is a fantastic opportunity to be at a renowned Global Financial company that more »
Client Reporting Specialist up to £50000 London THE COMPANY Leading London Based Investment Manager whose Investment Management services in Equity and FixedIncome Strategies make them industry leaders. The company have a long history and this will be a great opportunity for the right person. SKILLS AND EXPERIENCE more »
with outsourced providers, leveraging streamlined processes and efficient reconciliation tools. The ideal candidate will be a confident product controller with a solid grasp of fixedincome products (such as bonds and bank debt) and/or FX hedging dynamics. Strong academic credentials and exceptional communication skills are essential more »
role in supporting our Commodities traders and ensuring smooth execution of physical commodity transactions. This hedge fund invests across various asset classes, including Equity, FixedIncome, FX, Derivatives, Commodities, and Cryptocurrencies. As part of the supportive Operations function, you will bring: Demonstrable knowledge of the full lifecycle, including more »
trading strategy for GBP, USD, and EUR money books. - Execute interest rate trading for the bank’s balance sheet. - Responsible for managing the Treasury FixedIncome portfolio (c. £300m). - Provide cover for senior members on both the MM and FX desk. - Price and execute client orders using more »
Our client, a well-respected investment management firm, are seeking to add a talented credit research analyst to their London based fixedincome team. This is an excellent opportunity to join a high-performing and growing team, working alongside the portfolio managers, analysts and traders to conduct research more »
of Repo and cash transactions for US Treasury Bonds Facing off to multiple front office Traders, Sales and Business Managers Qualifications Strong knowledge of fixedincome, repos and bonds. Clearing front to back trade process knowledgable desirable. Regulatory project experience is desirable. Capital Markets experience. more »
working on complex and interesting systems with continual learning opportunities. As a Business Analyst you will work across a range of asset classes (e.g. FixedIncome, Commodities, Equities, FX, etc.), collaborating with various teams to understand their requirements. Responsibilities will include critically evaluating information from multiple sources; acting … Analyst/Project Management experience within a finance environment, buy-side preferred You have a good understanding of a range of asset classes e.g. FixedIncome, Commodities, Equities, FX You have advanced requirements gathering, analysis and documentations skills You have strong technical skills with SQL (including advanced queries more »
highly diversified range of actively managed products. We are truly global, supporting our individual and institutional investors across a range of products, encompassing equities, fixedincome, multi-asset, and alternatives. We build client trust by being dependably excellent in all things, and we put the client at the … all areas of the firm, including vendor implementations, regulatory change, in-house development, as well as overseeing change delivery from third party suppliers. The FixedIncome Quant Platform Team sits within the FixedIncome Technology department and is responsible for providing low-friction technology services to more »
The Role Hedge Fund/Asset Management Trade Support – FixedIncome & Credit focus Martis Search are representing a boutique City of London based Asset Management company that also supports Alternative Investment strategies to hire a permanent “Hedge Fund/Asset Management Trade Support Analyst.” The company boasts a … client is in need of someone, ideally from an Institutional Asset Management, or Hedge Fund Trade Support background who has a sound knowledge of FixedIncome and Credit Derivatives related Buyside Trade Support covering Middle Office (i.e. Trade Capture and Trade Confirmation, Settlements), as well as Fund Administration more »
Our client, a medium sized asset manager based in London, are looking for an experienced Business Analyst with strong FixedIncome knowledge to join their business. Initial 6 month contract paying £650-850/day * Sponsorship unfortunately unavailable * This Business Analyst will join a new team who will … be a well rounded BA with strong experience at asset management companies, have strong stakeholder management skills, and also have a strong knowledge of fixedincome products, systems, and financial instruments. SQL experience is also beneficial for querying data. Key Skills: Asset Management experience FixedIncomemore »
excellent opportunity to join a highly successful, collaborative fund with a positive working culture. This role will be as a quant working with a fixedincome team that trade a range of linear interest rate derivative products. The role is best described as being a holistic hedge fund … on, so there is a degree of flexibility to nuances of the hire. Responsibilities Designing and testing quantitative models/products Working directly alongside FixedIncome traders/Portfolio Managers including to identify risks in portfolio, scenario/benchmark analysis and assessing model behaviour. Designing new technological applications … top 10) University in a highly quantitative subject (Maths, Stats, Physics, Computer Science etc) Working knowledge of derivative modelling, ideally with interest rate/fixedincome focus. 3 years plus working experience as a quantitative analyst or quant developer at a top tier hedge fund or investment bank more »
Greater London, England, United Kingdom Hybrid / WFH Options
Mizuho
do you need to succeed? · Minimum [4] years’ experience with Risk management and or financial products, including derivatives or securities financing · Working exposure to FixedIncome (Bonds, Loans), derivatives (CLNs, CDS), and Structured Products (Securitizations, CLOs) and financing formats (Repo, TRS) · Strong understanding of credit markets such as … knowledge of Fixedincome maths and the risks in underlying products · Understanding of counterparty risk management techniques, trading strategies as well as other qualitative and quantitative measures of credit worthiness · Knowledge of the fundamentals of Market Risk (VaR, Sensitivities, Stress) · Broad understanding of limit frameworks, risk appetite and … on non-public deals · Ability to assimilate large amounts of data and transform into consumable information · Ability to assess, propose and deliver changes to fixedincome asset valuations · Ability to constructively influence other departments and individuals What Mizuho can offer you Here at Mizuho, there are fantastic progression more »
Leeds, England, United Kingdom Hybrid / WFH Options
Border To Coast Pensions Partnership
and a clear progress path to Portfolio Manager. About the role: Our External Management Team currently manage £15bn of assets, across both equity and fixedincome funds, and oversee c.20 manager relationships. As Associate Portfolio Manager, you would lead eight to ten manager relationships and would be responsible … each portfolio. You will work closely with the three portfolio managers and will directly feed into Tactical Asset Allocation processes across both equity and fixed income. Expanding on the above, the role will involve: Fundamental research to support the Team’s understanding of manager and fund-level positioning. Existing … consulting environment or directly at an asset manager. Candidates will have relevant experience in the due diligence of external manager capabilities, preferably in Equities, FixedIncome, or both. Candidates with more of a multi-asset background are also encouraged to apply. Candidates are expected to demonstrate a strong more »
Greater London, England, United Kingdom Hybrid / WFH Options
MSCI Inc
engagements and pre-sales activities. Successful candidates will have a thorough knowledge of market risk measurement and management, pricing of asset types (including equity, fixedincome, commodities, and derivatives), highly quantitative skills and an ability to guide institutional clients to better use our products for assessing risks and … Barra or RiskMetrics models and software a plus. Deep understanding of global financial markets, including modeling and pricing of different asset types in the fixedincome, equities, commodities, and credit markets and their derivatives Knowledge of the main European regulatory frameworks for asset managers and banks Superior communication … ideally from finance/engineering/mathematical background. What we will offer you: Depending on your location of your role, you can expect … Competitive fixed and variable compensation, holiday/vacation allowance & retirement savings plans/pensions Employee Resource Groups to support you in and out of the office more »
London-based Multi Strat Fund is looking to expand its Engineering team with an additional Quant Developer hire that will work directly in the FixedIncome side of the business. The firm is a highly collaborative group of impressive professionals with a range of levels and experience across … up with Monday-Wednesday in the office and Thursday-Friday at home. Role: Architecting and building a Quantitative Research and simulation environment Pricing of FixedIncome instruments Build order execution and order management improvements Improve and refine back office systems Requirements: Strong Python coding skills with experience in more »
motivated and team-oriented individual who thrives on challenges in a fast-paced, entrepreneurial environment. At least 3 years of debt capital markets/fixedincome sales/syndication experience within the industry. Strong relationships in European primary bond markets with FixedIncome buy-side, DCM more »
Our client is a global investment management firm that utilizes long-short equities, long-only, fixedincome and commodities futures strategies across its funds seek to add a experienced Data Engineer Risk Developer. They have deep expertise in trading, technology and operations and attribute their success to rigorous more »
and enhancing proprietary trading models. You will collaborate closely with portfolio managers, researchers and software engineers to design, implement, and backtest quantitative strategies across fixedincome, FX and commodities asset classes. Your responsibilities will include: Harnessing Python and other programming languages to analyze large datasets and extract meaningful more »
key position and amazing opportunity for a motivated individual with maximum 1 month notice. The following skills/experience is essential: Strong trading knowledge (FixedIncome, Equities, FX and Futures) A strong track record of core Business Analyst skillset Detailed technical experience and knowledge (Python coding, SQL, VBA more »
and execution to investors, companies and governments. We offer deep sector expertise across a full range of products and services in investment banking, equities, fixedincome, asset and wealth management in the Americas, Europe and the Middle East and Asia. Jefferies Group LLC is a wholly-owned subsidiary more »
all levels in delivering pragmatic and proportionate compliance support, monitoring and training solutions A good understanding of public market asset classes; including equity, credit, fixedincome, derivatives and alternative investments. Demonstrable experience of Public Markets Compliance. Demonstrable experience of dealing with the regulatory change agenda, and in particular more »
other internal teams. Assist in training and coaching more junior team members. Required Skills: Finance and/or accounting experience preferred. Intermediate understanding of fixedincome and equity investments. Strong computer skills, including proficiency in Microsoft Office. Excellent attention to detail and strong documentation skills. Outstanding verbal and more »
Attribution Analyst (FixedIncome Product Owner Manager Attribution Bonds Credit Rates Bloomberg PORT GRM Front Office Trading Risk SQL Python Asset Manager Investment Management Asset Manager Finance Financial Services Buy Side Hedge Fund) required by our asset management client in London. You MUST have the following: An excellent … knowledge of FixedIncome within the buy-side An advanced understanding of FixedIncome attribution and attribution strategies A good understanding or PORT and therefore the GRM Strong experience working with Front Office stack holders such as portfolio managers, risk and credit analysts The following is … DESIRABLE, not essential: Experience working with in-house built FixedIncome attribution systems SQL and Python Role: Attribution Analyst (FixedIncome Product Owner Manager Attribution Bonds Credit Rates Bloomberg PORT GRM Front Office Trading Risk SQL Python Asset Manager Investment Management Asset Manager Finance Financial Services more »