overseeing the market risk of the Structured Solutions business . The business covers a number of asset classes including equity, commodity, rates, credit and FX, with derivatives from vanilla through to exotics. The successful candidate will have extensive experience in market risk management and be instrumental in developing and implementing more »
cash, liquidity, funding and capital (including as measured by RWAs, leverage and large exposures) of entities within the Group and the interest rate and FX risks that results from the banking book activity. We are undertaking a substantial programme of transformation in our Interest Rate Risk in the Banking Book more »
during your 1st 18-24 months There's a multitude of greenfield initiatives across Systematic and higher frequency teams operating in Equity, Debt, Commodities, FX, Derivs (L & Non-Lr) and Digital Assets markets, approved for 2024 and 2025, post outstanding ROI in 2021, 22, and 23. CULTURE ( 1 of the more »
C Developer Founded by software developers who saw a gap in the market, this FX and Trading Software organisation are now spread across 3 continents and are currently hiring into their Professional Services team. Their flagship platform is an autonomous software which brings the most cutting-edge technology to a … parallel architectures. Experience with distributed systems. Asynchronous programming and concurrency expertise. Bachelors in computer science. Either commercial experience or a keen interest in Finance, ForeignExchange/FX. Within a company with modern, progressive approach you will be offered a great work life balance and extensive growth … with an opportunity to take ownership of key projects whilst benefitting from a progression plan made available & facilitated by the senior leadership. Knowledge of FX and/or Trading platforms software would be strongly beneficial, but not mandatory for this Agile Project Manager. C Developer more »
Central London to join a highly motivated and dynamic global sales team. The company is the worlds leading provider of intelligence for the Global ForeignExchange, Fixed Income Markets and Political Risk, and have continued to grow throughout 2020, 2021 and 2022. Working with companies like JP Morgan more »
liability frameworks, and consequential loss. Demonstrates exceptional problem-solving abilities and meticulous attention to detail. Familiarity with Data Protection laws and regulations. Experience in foreignexchange, multicurrency products, and understanding of IP/IT and related regulatory frameworks is advantageous. Good understanding of key contractual principles (e.g., contract more »
Head Office, etc.Manage liquidity in bank accounts. Analyse the cash flow of each current account (Nostro account), and utilise diversified financial instruments (interbank lending, foreignexchange transactions, CD/CP issuance, bond issuance, bond investment, etc.) to make reasonable capital arrangements according to the balance of each account more »
Head Office, etc.Manage liquidity in bank accounts. Analyse the cash flow of each current account (Nostro account), and utilise diversified financial instruments (interbank lending, foreignexchange transactions, CD/CP issuance, bond issuance, bond investment, etc.) to make reasonable capital arrangements according to the balance of each account more »
staff.Responsibilities• Undertaking reviews and implementations of Treasury strategies, policies, target operating models, cash management processes, and technology and systems. • Conducting risk management assessments including foreignexchange, interest rate, credit and commodities. • Providing specialist support to external audit teams, including derivative valuations, hedge accounting, and financial instrument classifications. • Conducting more »
We are working with a financial services client who are looking to rewrite and improve their current trading application across multiple asset classes including FX/Commodities/derivatives. Must Have: Financial services experience Java Angular Cloud development experience The client is looking to move very quickly and so is more »
Banking Assistant will liaise with internal stakeholders to for purposes of client account opening, client instructions (execution of identification, call back, payments, deposits, loans, FX deals, transfers and securities transactions), credit applications , client reviews and account monitoring. The Private Banking Assistant will support Client Relationship Manager in acquiring new and more »
client is a leading quantitative-driven electronic market-maker partnering with counterparties, exchanges and e-trading venues globally to provide liquidity in the Equity, FX, Fixed Income, Commodity, and Crypto markets. In this role you will focus on Operational Trade Support for Crypto/Digital Assets with primary responsibilities in more »
reporting and analysis • Manage relationships with the banks and manage banking facilities - refinancing, renewals, draw downs and headroom; including monitoring of bank charges and FX • Assist in the implementation and operation of a global cash pooling system to maximise the efficiency of the firm's cash resources • Propose and agree more »
background in using numerical methods including Monte-Carlo, and Stochastic Calculus for vanilla & exotic derivative valuations. Knowledge of major derivative products in equity, rates, FX or commodity markets. Particularly options. Understanding of back-testing and out-of-sample testing methodologies. Solid understanding of volatility products and vol surface modelling. Programming more »
expertise in market risk relating to commodities trading can be considered for this opportunity. Our client is a pioneer and rapidly expanding commodities and FX trading firm. They have amassed an elite team across the organisation and have grown considerably over the last 5 years. They have a new opportunity more »
depth working knowledge of Derivatives products is crucialEssential experience overseeing Front Office engagementUnderstanding of Derivatives products and trading environment including, but not limited to FX, IRS, TRS, CDS other derivative related productsExperience in a Product owner or product manager roleWhat is particularly exciting about this role will that as the more »
Science, Information Technology, or related field. Minimum 4 years of experience in operations or infrastructure management within the FinTech industry, preferably with exposure to FX trading platforms. Proficiency in FIX protocol implementation within financial markets. Strong understanding of technical infrastructure components, network protocols, and trading environments. Experience with operating systems more »
strong academic background, first class degree education in Finance, Business or Economics You have a strong interest in financial markets - with an understanding of FX, Futures or other derivatives and are keen to progress your career in this area - motivated to learn You have advanced communication skills including relationship building more »
internal and financial controls and processes. Assisting with the monthly Management Accounts preparation and presentation, including AP/AR reporting, expenditure analysis and investigation, FX reconciliations and reporting. Developments of new reports using Excel, Power BI and SAP Delivering training in elements of SAP Business ByDesign Answering queries related to more »
Software Developer with 3 to 5 years experience.Calypso V14 as its Collateral Management system and are investigating introducing further business lines like cash management, FX and securities.The Client are looking to build a team of support analyst and analyst developers to provide first line and development capabilities and this analyst more »
/or support functions. To be considered you will be able to demonstrate detailed knowledge of structured products and Cross Asset Derivatives (Equity, Commodity, FX, Rates, Credit). Knowledge of vendor systems used within the Structured Product Trade Lifecycle, ideally Sophis. You will have extensive vendor management experience - including delivery more »
growth plans in mind in terms of strategies and headcount for 2024. The fund trades in the major macro asset classes including interest rates, FX, equities, credit, and commodities in developed and emerging markets. As the fund continues to growth its strategy offering, a new team has just been created more »
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 »
Societe Generale Corporate and Investment Banking - SGCIB
management External unsecured funding Refinancing of internal business lines and SG group subsidiaries. Pricing of internal curves Centralising the excess cash optimization through the FX swap market for the SG Group Management and steering of liquidity requirements (regulatory or internal) Management of HQLA liquidity buffer Management of intraday liquidity Management more »
firm, named in 2021 as one of the top FinTechs to work for by Glassdoor and AltFi. We offer a range of products including FX risk management, trade finance, currency accounts, international payments and API integration.Strategy and M&A Senior Manager - LondonHybrid: 4 days a week in the office more »