Senior Test Analyst - Algo/CollateralManagement sought by leading investment bank based in the city of London. **Inside IR35 - 2 days a week on site** Key Responsibilities: Develop and execute comprehensive system test plans, test cases, and test scripts aligned with the upgrade scope. Validate the incoming and outgoing interfaces of the new SmartStream Algo system, ensuring … to understand requirements and translate them into test scenarios. Perform system integration testing (SIT) and support user acceptance testing (UAT) phases. Identify, document, and track defects using standard defect management tools. Participate in test reviews, walkthroughs, and sign-off processes. Ensure compliance with internal QA standards and regulatory requirements. Provide regular status updates and contribute to test reporting and … upgrade or integration projects. Strong knowledge of system testing methodologies, tools, and best practices. Experience testing interfaces (inbound/outbound), including file-based and API integrations. Familiarity with test management tools such as JIRA. Ability to write and execute SQL queries for data validation and backend testing. Financial Services Experience: Solid understanding of collateralmanagement, settlements, or More ❯
City of London, London, United Kingdom Hybrid/Remote Options
Reed Talent Solutions
A global investment bank is seeking a highly skilled and motivated Quantitative Analyst to join the XVACCR, Collateral & Credit Quantitative Research team. This role is central to the development of cutting-edge quantitative models and tools that support XVA pricing, counterparty credit risk, collateralmanagement, and regulatory compliance. You will work closely with desks across the bank … including XVA, Risk, Collateral, and Credit Trading, contributing to strategic initiatives and regulatory projects such as XVAVaR, SACCR, FRTB-CVA, and RWA optimisation. This is a unique opportunity to be part of a dynamic team driving innovation in financial modelling and quantitative research. This is a permanent role based in the City of London office (hybrid working - 3 days … per week onsite). Key Responsibilities Develop and implement pricing models and analytical tools for: CollateralManagement (e.g., IMVA-CCP, SIMM) XVA-related activities (e.g., CVA, DVA, FVA, MVA) Collaborate with internal stakeholders including Trading, Risk, RPC, and IT to ensure model accuracy and performance. Contribute to the enhancement of XVA libraries and platforms to meet evolving regulatory More ❯
A global investment bank is seeking a highly skilled and motivated Quantitative Analyst to join the XVACCR, Collateral & Credit Quantitative Research team. This role is central to the development of cutting-edge quantitative models and tools that support XVA pricing, counterparty credit risk, collateralmanagement, and regulatory compliance. You will work closely with desks across the bank … including XVA, Risk, Collateral, and Credit Trading, contributing to strategic initiatives and regulatory projects such as XVAVaR, SACCR, FRTB-CVA, and RWA optimisation. This is a unique opportunity to be part of a dynamic team driving innovation in financial modelling and quantitative research. This is a permanent role based in the City of London office (hybrid working - 3 days … per week onsite). Key Responsibilities Develop and implement pricing models and analytical tools for: CollateralManagement (e.g., IMVA-CCP, SIMM) XVA-related activities (e.g., CVA, DVA, FVA, MVA) Collaborate with internal stakeholders including Trading, Risk, RPC, and IT to ensure model accuracy and performance. Contribute to the enhancement of XVA libraries and platforms to meet evolving regulatory More ❯
to monitor, assess, and manage the risk of expected and unexpected events that may have an adverse impact on the firm. Risk professionals execute critical day-to-day risk management activities, lead projects and contribute to the ongoing advancement of a robust risk management program. FINANCE RISK (FR) Finance Risk is the independent risk management function responsible … for overseeing the firm's accrual rates and liquidity risk. We work closely with Global Banking and Markets, Asset and Wealth Management and Platform Solutions, as well as the broader Risk organization to provide independent risk assessment and oversight of the firm's risk taking. Key functions include: Risk Oversight: Monitor, govern, and challenge Corporate Treasury execution activities, including … accrual rates risk management, liability management, cash & collateralmanagement, funds transfer pricing, balance sheet usage, liquidity and funding projections Risk Limit Governance: Setting risk appetite for Corporate Treasury, calibration of risk limits, sign off on limits frameworks, and ongoing monitoring of limit utilization and remediation Analytics: Monitoring of key risk measures and assessment of business drivers More ❯
City of London, London, England, United Kingdom Hybrid/Remote Options
INTEC SELECT LIMITED
An exciting opportunity for an experienced Senior Test Analyst to join a strategic system upgrade programme within a leading financial services organisation. This role focuses on upgrading the Algo CollateralManagement System, ensuring robust interface validation and seamless system integration across key business and technology functions. Role & Responsibilities: Develop and execute detailed test plans, cases, and scripts for … Strong knowledge of system testing methodologies and tools. Experience testing interfaces (file-based and API integrations). Proficiency with SQL for data validation and backend testing. Solid understanding of collateralmanagement, settlements, or post-trade processing within financial services. Prior experience with SmartStream or Algo Collateral systems highly desirable. Excellent communication, analytical, and stakeholder management skills. More ❯
for a software tester to join their fast-paced team on an initial 3 month contract. This role is part of a strategic initiative to upgrade the existing Algo CollateralManagement System. The legacy system, originally developed by IBM, is being replaced with the latest version provided by SmartStream, who acquired the platform in 2017. The upgrade focuses … to understand requirements and translate them into test scenarios. Perform system integration testing (SIT) and support user acceptance testing (UAT) phases. Identify, document, and track defects using standard defect management tools. Participate in test reviews, walkthroughs, and sign-off processes. Ensure compliance with internal QA standards and regulatory requirements. Provide regular status updates and contribute to test reporting and … upgrade or integration projects. Strong knowledge of system testing methodologies, tools, and best practices. Experience testing interfaces (inbound/outbound), including file-based and API integrations. Familiarity with test management tools such as JIRA. Ability to write and execute SQL queries for data validation and backend testing. Financial Services Experience: Solid understanding of collateralmanagement, settlements, or More ❯
and PLVA calculations in Excel for validation and testing purposes. Support the valuation and configuration of Commodity products within Murex. Collaborate with cross-functional teams including Market Data, Risk Management, and Back Office to ensure end-to-end system consistency. Required Qualifications & Experience Bachelor's degree in Mathematics, Physics, Engineering, or Economics . Minimum 3 years of hands-on … experience with the Murex platform. Proven expertise in: Murex Front Office and Market Data configuration Production Support and troubleshooting Collateralmanagement and risk configuration Back Office processing and operations MXML and Datamart setup and integration High proficiency in English (C1 level or above), particularly in written communication. Desirable Qualifications Postgraduate degree in Quantitative Finance or Financial Products. Prior … experience with valuation and risk management of complex financial instruments. Strong soft skills including problem-solving, initiative, and teamwork. Randstad Technologies is acting as an Employment Business in relation to this vacancy. More ❯
currently seeking a PM/BA to join them on a 6 month initial contract in London to lead a Treasury Transformation project. The role requires excellent Markets Change Management skills and knowledge of Margin and Collateral Management. £700 - £800pd via Umbrella Essential Recent Requirements: Excellent PM/BA experience in a global Bank Global Investment Banking experience … Recent and in-depth Treasury Change experience Very strong Margin and CollateralManagement experience Excellent verbal and written communication skills Please only apply to this advert if you meet all of the above criteria. More ❯
and financial instruments, along with strong communication and analytical skills. This role is critical in driving strategic risk initiatives and ensuring the successful delivery of projects across credit risk management, reporting, and compliance. Key Responsibilities Requirements Elicitation & Analysis Lead workshops and discussions with stakeholders across Risk, Finance, Front Office, and Technology to gather and analyze detailed functional and non … functional requirements related to credit risk. Understand and document business processes around credit origination, risk rating, exposure management, limit monitoring, and collateral management. Domain Expertise Application Apply deep knowledge of Credit Risk concepts including counterparty risk, credit scoring, internal/external ratings, PD/LGD/EAD modeling, and credit exposure measurement. Understand workflows across corporate lending, trade … risk requirements into functional specifications, user stories, process flows, and data models. Support the design of risk systems and interfaces for credit risk data capture, aggregation, and reporting. Stakeholder Management Act as a bridge between Credit Risk, Finance, Regulatory Reporting, and IT teams to ensure alignment and clarity throughout the project lifecycle. Engage with senior stakeholders to present findings More ❯
and financial instruments, along with strong communication and analytical skills. This role is critical in driving strategic risk initiatives and ensuring the successful delivery of projects across credit risk management, reporting, and compliance. Key Responsibilities Requirements Elicitation & Analysis Lead workshops and discussions with stakeholders across Risk, Finance, Front Office, and Technology to gather and analyze detailed functional and non … functional requirements related to credit risk. Understand and document business processes around credit origination, risk rating, exposure management, limit monitoring, and collateral management. Domain Expertise Application Apply deep knowledge of Credit Risk concepts including counterparty risk, credit scoring, internal/external ratings, PD/LGD/EAD modeling, and credit exposure measurement. Understand workflows across corporate lending, trade … risk requirements into functional specifications, user stories, process flows, and data models. Support the design of risk systems and interfaces for credit risk data capture, aggregation, and reporting. Stakeholder Management Act as a bridge between Credit Risk, Finance, Regulatory Reporting, and IT teams to ensure alignment and clarity throughout the project lifecycle. Engage with senior stakeholders to present findings More ❯
coding in Java essential with Python, exposure to Domain Specific or Functional Languages, Code Generators, Build and Release best practices, Testing frameworks and using the Github repository and issue management environment. -Assist with business analysis, mapping of proprietary data models and other technical queries relating to Trading technology and regulatory reporting use cases. Experience & Skills required: High Proficiency of … Proactive worker on Technical projects, able to engage stakeholders and drive work through to completion that meet deadlines. Working knowledge of the financial markets: trade processing, settlements, derivatives, commodities, collateralmanagement markets with proven technical expertise Adaptable, quick learner and team player are essential skills. Qualifications · Bachelor’s degree in any speciality (although prefer computer science, engineering or More ❯
coding in Java essential with Python, exposure to Domain Specific or Functional Languages, Code Generators, Build and Release best practices, Testing frameworks and using the Github repository and issue management environment. -Assist with business analysis, mapping of proprietary data models and other technical queries relating to Trading technology and regulatory reporting use cases. Experience & Skills required: High Proficiency of … Proactive worker on Technical projects, able to engage stakeholders and drive work through to completion that meet deadlines. Working knowledge of the financial markets: trade processing, settlements, derivatives, commodities, collateralmanagement markets with proven technical expertise Adaptable, quick learner and team player are essential skills. Qualifications · Bachelor’s degree in any speciality (although prefer computer science, engineering or More ❯
proven track record of measurably growing developer ecosystems Institutional Finance Acumen: Deep understanding of financial instruments and market structure (equities, bonds, repos, collateralized lending, etc.). Strong grasp of collateralmanagement, capital efficiency, and how DeFi can impact these processes. Familiarity with regulatory frameworks and how they relate to tokenization and digital asset adoption Technical credibility with the … blockchain technologies, APIs, developer platforms, or emerging financial technologies Background in building developer communities around new technology categories, particularly in fintech or blockchain Experience with open source ecosystems, community management, and collaborative development practices Public speaking experience at industry conferences and events, particularly fintech or blockchain conferences Content creation experience including technical writing, video tutorials, or documentation for financial More ❯
proven track record of measurably growing developer ecosystems Institutional Finance Acumen: Deep understanding of financial instruments and market structure (equities, bonds, repos, collateralized lending, etc.). Strong grasp of collateralmanagement, capital efficiency, and how DeFi can impact these processes. Familiarity with regulatory frameworks and how they relate to tokenization and digital asset adoption Technical credibility with the … blockchain technologies, APIs, developer platforms, or emerging financial technologies Background in building developer communities around new technology categories, particularly in fintech or blockchain Experience with open-source ecosystems, community management, and collaborative development practices Public speaking experience at industry conferences and events, particularly fintech or blockchain conferences Content creation experience including technical writing, video tutorials, or documentation for financial More ❯
company, delivering high-quality insights on time, every time. You'll be responsible for planning and executing intra-group reinsurance transactions, keeping a close eye on funding requirements and collateral management. Regulatory deadlines, whether for Lloyd's or Bermuda, will be met with confidence, and you'll play a key part in maintaining strong relationships with ratings agencies. On … the Treasury side, you'll oversee all group activities, from funding and cash management to recommending and implementing changes to debt structures. Supported by the Group Treasury Manager, you'll monitor liquidity at both entity and group level, ensuring compliance and effective operation of our Treasury Management System. You'll manage relationships with our banking and custody partners More ❯