Continuously improve systems and processes for enhanced efficiency Required Qualifications: 3+ years of experience with Python in a quantitative finance role Strong background in FixedIncome products and markets Prior experience in buy-side, hedge fund, asset management, or investment banking Business-facing experience, comfortable working with portfolio 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 »
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 »
Deep knowledge of Databricks, Snowflake and its application as a semantic layer for data repositories. Practical understanding of core investments data domains across Equity, FixedIncome, and Alternatives. Proven ability to lead and develop high-performing teams. Excellent collaboration and partnership skills, with experience in driving data governance more »
is a leading quantitative-driven electronic market-maker partnering with counterparties, exchanges and e-trading venues globally to provide liquidity in the Equity, FX, FixedIncome, Commodity, and Crypto markets. In this role you will focus on Operational Trade Support for Crypto/Digital Assets with primary responsibilities more »
NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund) required by my asset management client in London. You MUST have the following: Advanced ability as a … NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund) required by my asset management client in London. You will join a relatively new department that is more »
NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund) required by my asset management client in London. You MUST have the following: Advanced ability as a … NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund) required by my asset management client in London. You will join a relatively new department that is more »
NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund) required by my asset management client in London. You MUST have the following: Advanced ability as a … NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund Snowflake) required by my asset management client in London. You will join a relatively new department that more »
risk analyses and results to enhance the investment process. Role Details: As a Senior Risk Manager you will (be): Risk Management Program for dedicated fixedincome structured products, specifically for European and U.S. Collateralized Loan Obligations. In details, enhance existing governance with a robust and tailored approach for … risk identification, monitoring and analysis of the asset class Act as global key representative for Risk Management for new product initiatives on FixedIncome structured products and/or instruments in close collaboration with the Investment and Product Divisions Manage and enhance existing risk models to better support more »
pricing libraries. Strong development skills in C++ skills are essential. Credit Derivatives experience is beneficial, however they will consider candidates from other areas of FixedIncome, especially Interest Rate Derivatives and XVA. A Master's degree or a PhD in a mathematical or STEM discipline. Excellent communication skills. more »
Job Purpose ICE Risk provides global risk management services to ICE’s Exchange, Clearing, FixedIncome and Data, and Mortgage Technology business lines by assessing, implementing, monitoring, and advising internal and external teams with risk mitigating strategies across the globe and other financial institutions. ICE Clear Europe’s more »
Java/C# would be beneficial to show programming aptitude. AWS, Kafka, Redis Experience within a trading technology environment would be beneficial i.e. Equities, FixedIncome, Commodities. This will be a 6 Month initial contract, offering a hybrid working policy of three days on client site. Ready for more »
Greater London, England, United Kingdom Hybrid / WFH Options
Vertex Search
and project leadership (one of the hires could be for a team lead for the right person) Experience in financial modeling (pricing/risk) Fixedincome product knowledge Kubernetes exposure Cloud computing (ideally AWS) expertise Why Join? Exceptional comp, benefits and bonus potential Hybrid working and amazing central more »
Support experience (if you have more than 5-years’ experience, our client will happily look at this level of experience too). Products covered: FixedIncome (Government and Corporate Bonds), Credit Derivatives, Interest Rate Swaps, ABS, Private Credit, FX, Futures & Options. The role involves dealing with multi-counterparties more »
year’s Client Services experience).” Our client is looking for someone with either 1-2- year’s Client Services, or Equity & FixedIncome Settlements, or KYC Client Onboarding experience (who wants to work in Transitions/Client Services and is client-facing in their current role/ more »
as required. Who You Are Undergraduate degree or equivalent work experience. Preferably 2-3 years’ experience working in or alongside an RFP function covering FixedIncome and/or Real Estate investments. A knowledge of RFP content databases and consultant databases would be desirable. Great communication and interpersonal more »
Greater London, England, United Kingdom Hybrid / WFH Options
Martis Search
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 »
Wolverhampton, England, United Kingdom Hybrid / WFH Options
LGPS Central
Portfolio Manager - FixedIncome Salary - Competitive + Benefits Based in the Midlands - Hybrid Working We are currently looking for a highly skilled and experienced FixedIncome Portfolio Manager to join the FixedIncome Investments team where you will play a critical role in shaping … and executing our investment strategies in the FixedIncome space. Based in Wolverhampton, the successful candidate will report to the Investment Director – Fixed Income. You will work closely with the Investments team to research, build and manage a range of professional, high performing fixedincome … collaborative, research based and responsible investing across the Investment team If you are a highly motivated and results-driven professional with a passion for FixedIncome strategies, we invite you to apply for this exciting opportunity. Key Responsibilities: Management of designated sub-funds/investment mandates ensuring that more »
City Of London, England, United Kingdom Hybrid / WFH Options
Quant Capital
Quantitative FixedIncome Specialist Hybrid working £170,000 Quant Capital is urgently looking for a Quant Developer to join a high profile FinTech in London. Our client is a rapidly expanding financial services firm that has built a global network allowing investors to analyse and collaborate on investments. … code using object-orientated programming Skills and Experience Minimum of 5 years' experience in financial markets focused on trading and risk management within the fixedincome or equities MSc or PhD in a STEM subject Good C++ including C++ 11/14 Some Python Version control such as … Git/Github Experience in yield curves construction Knowledge of fixedincome performance attribution methodologies Join our client's dynamic team and contribute to their mission of reshaping the financial markets with their groundbreaking global financial network. more »
Head of FixedIncome Support - Tier 1 Investment Bank - London/Hybrid - Comp in Excess of £130,000 One of the top-performing investment banks within the FixedIncome and FX markets is looking for an expert in Rates/Credit eTrading production support to lead … impacting the bottom line of the firm. Required skills: Minimum 3 years' experience managing a production support function for eTrading/Algo trading across FixedIncome/Rates/Credit or similar. Experience with market data connectivity e.g. Bloomberg, MarkitWire, Reuters etc. Understanding of end-to-end build more »
will have: Bachelor’s/Master’s degree in Computer Science or similar Solid experience in full-stack software development in Java Experience of fixedincome and structured products Excellent communications skills and ability to work in a high-pressure trading environment Top end salary and bonus paid more »
Edinburgh, Scotland, United Kingdom Hybrid / WFH Options
HSBC
frameworks: this may include formal qualifications and/or certified online courses and/or evidence of practical experience. of Post Trade, Equities or FixedIncome within a Custodian or Broker Dealer environment for Settlements, or Asset Services is highly desirable but not essential for this role. understanding more »