Manager or External Alpha Contributors who are strong technically and in quality alpha capture. This is for someone with experience in either Future's, FixedIncome, Credit, Equities, or FX. This position is global (Depending on approval) WE ARE ALSO LOOKING FOR ALPHA GENERATORS WHO WANT TO BE 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 »
comprehensive regulatory inventory What we are looking for: General understanding of trade surveillance and rules, laws, and regulations that address Market Misconduct Knowledge of FixedIncome, FX, Futures, or Equities related products Experience with SMARTS or Actimize surveillance systems Experience with Excel pivot tables and data management Effective … to help you manage your physical wellness with the option to purchase a screen for your partner Competitive pension plan, life assurance and group income protection cover if you become unable to work as a result of a disability or health reasons 20 days of back-up childcare including more »
will be $778.7 billion in assets under management. We deliver investment solutions that help investors target a broad range of outcomes and provide equity, fixed-income, alternative/private markets, multi-asset and liquidity management strategies to more than 11,000 institutions and intermediaries worldwide. Our clients include … to drive financial performance and deliverance of outstanding service levels for the Assets Working closely with the Assets’ teams and with customers to retain income at risk. What are the tasks and responsibilities of the role? To increase the rental and capital value of the Assets by attracting new 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 »
On-call, weekend, bank holiday and shift work may be required Systems and applications comprise vendor and in-house built tools Requirements Must have FixedIncome functional knowledge, in particular, bond and treasuries trading expertise C++, Java or Python Experience working in front to back office is necessary 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 »
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 »
advanced degree or CFA designation is a plus. Proven experience in sales or relationship management within the financial services industry, with a focus on fixedincome products and emerging markets preferred. Strong understanding of emerging market corporate debt instruments, including bonds, loans, and credit derivatives. Excellent communication and more »
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 »
with a strong knowledge of the fundamentals of investment fund accounting and an ability to think through the investment process; Accounting experience with traditional fixedincome securities, bank debt/loans, equities, and FX hedging transactions; Candidate must have strong Excel and knowledge of financial formulae more »
assets under management, as of Dec. 31, 2023. We deliver investment solutions that help investors target a broad range of outcomes and provide equity, fixed-income, alternative/private markets, multi-asset and liquidity management strategies to more than 11,000 institutions and intermediaries worldwide. Our clients include more »
first principles, all calculations and methodologies pertaining to, and the calculation of, investment performance and attribution across a range of asset classes, including equities, fixedincome, FX and derivatives It is hopeful that you will also have a working knowledge of basic risk principles, and certainly a desire 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 »
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 »
Required: 5+ years compliance experience, ideally within a hedge fund or investment manager Strong understanding of surveillance and knowledge of various asset classes including fixedincome, equity, and derivatives An in-depth understanding of the hedge fund industry & strong general compliance experience Good level of knowledge of FCA more »
within the organisation's Information Security team. Our client, recognized as a leader in algorithmic trading, operates globally with a focus on Equity, FX, FixedIncome, Commodity & Options markets. They are committed to maintaining the highest standards of security across our physical and IT infrastructure. As a member more »
the following experience in order to fulfil this role: Good level of investment knowledge across a broad range of investment products, ideally to include fixedincome and liability driven investment solutions. Experience in contributing to the acquisition of winning new business in a range of markets. THE ROLE more »
financial services industry predominantly asset/wealth management firms, investment banks, private equity firms, and broker/dealers. • Knowledge of financial instruments including equity, fixedincome, derivatives, structure products etc. • Practical knowledge of testing/investigations, and audit methodology. • Demonstrate high-quality execution and attention to detail. • Inquisitive more »
to join a highly motivated and dynamic global sales team. The company is the worlds leading provider of intelligence for the Global Foreign Exchange, FixedIncome Markets and Political Risk, and have continued to grow throughout 2020, 2021 and 2022. Working with companies like JP Morgan and Goldman more »
Greater London, England, United Kingdom Hybrid / WFH Options
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well as having to deal a broad variety of Compliance tasks across lots of different Investment strategies and asset-class types i.e Global Credit, FixedIncome, Equity Long/Short, Private Equity etc. Our client needs either a “senior Compliance Manager”, or "Head of Compliance" level experience either more »
findings into strategies. Qualifications: Bachelor's or Master's degree. Strong experience in either systematic or discretionary trading with a focus on Index or FixedIncome ETFs. Proven track record of positive P&L. Healthy appetite for risk and the ability to manage risk effectively. Excellent analytical and more »