of different backgrounds and expertise, so the ability to communicate clearly and concisely is a must. This role will have direct exposure to interest rate derivatives, equity derivatives, creditderivatives and commodity derivatives. A strong background in programming, derivatives pricing and theory is preferred. Responsibilities Drive clearing house margin, stress and collateral management models R&D. Define business More ❯
of different backgrounds and expertise, so the ability to communicate clearly and concisely is a must. This role will have direct exposure to interest rate derivatives, equity derivatives, creditderivatives and commodity derivatives. A strong background in programming, stochastic calculus and probability theory is preferred . Responsibilities Drive clearing house margin, stress and collateral management models R&D. More ❯
define end-user requirements and translate them into practical solutions 📋 Document : Write detailed specifications and test analytical software features across multiple asset classes (FX, Interest Rates, Fixed Income, CreditDerivatives) ⚙️ Improve : Contribute to engineering standards, tooling, and processes ✅ Test : Help develop automated end-to-end test coverage What They're Looking For Essential: BS/MS in Finance More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Durlston Partners
define end-user requirements and translate them into practical solutions 📋 Document : Write detailed specifications and test analytical software features across multiple asset classes (FX, Interest Rates, Fixed Income, CreditDerivatives) ⚙️ Improve : Contribute to engineering standards, tooling, and processes ✅ Test : Help develop automated end-to-end test coverage What They're Looking For Essential: BS/MS in Finance More ❯
Global Banking & Markets, Credit SMM Strat, VP, London location_on London, Greater London, England, United Kingdom MORE ABOUT THIS JOB Your Impact As a Desk Strat on the credit desk, you will work directly with the firm's Investment Grade, High Yield, Distressed Credit, Macro Credit, Financing, and Systematic Market Making trading … sales teams, their quantitative insights drive our business decisions on complex financial and technical challenges. RESPONSIBILITIES AND QUALIFICATIONS Responsibilities Develop pricing, risk, and capital models for bonds and credit derivatives. Collaborate with sales and traders on strategies to navigate changing market and risk conditions and support structured credit transactions. Create large-scale analytics, quoting, and real … time risk systems for credit products. Build data-driven prediction models for quoting and liquidity across various credit products. Who We Look For Ideal candidates will have strong quantitative and technical problem-solving skills, a drive to learn new ideas, and good judgment to deliver quick yet robust solutions. Basic Qualifications Bachelor's/MS or More ❯
MORE ABOUT THIS JOB Your Impact As a Desk Strat on the credit desk, you will be working directly with the firm's Investment Grade, High Yield, Distressed Credit, Macro Credit, Financing and Systematic Market Making trading desks. You will build cutting-edge pricing, risk and quoting models, large-scale real-time risk systems … salespeople, their invaluable quantitative perspectives on complex financial and technical challenges power our business decisions. RESPONSIBILITIES AND QUALIFICATIONS Responsibilities Building pricing, risk and capital models for bonds and credit derivatives. Working directly with sales and traders on strategies to navigate rapidly changing market and risk conditions and contribute to structured credit transactions. Developing large scale analytics … quoting and real-time risk systems for credit products. Building data-driven prediction models for quoting and liquidity for various credit products. Who We Look For An ideal candidate would have strong quantitative and technical problem solving skills, drive to investigate and learn new ideas, and good judgement to deliver quick yet robust solutions. Basic Qualifications More ❯
other investors based in the U.S. and abroad. Position Overview: As a member of the Trading Desk, you will work directly with Quantitative Developers, Researchers, and the Systematic Credit Portfolio Managers. In addition to trading for Acadian's credit portfolios, you will be researching, developing, deploying, and monitoring cutting edge pricing models and strategies. Acadian's … credit capabilities focus on credit long-short, high-yield, and investment-grade corporate bonds.Acadian supports a hybrid work environment, employees are on-site in the Boston office 3 days a week. What You'll Do: We're Looking for Teammates With: A Bachelor's degree in STEM, statistics, or mathematics 10+ years of work experience trading … corporate bonds (domestic and international) and creditderivatives; experience trading other fixed income securities a plus Firm understanding of credit market structure and familiarity with a wide range of implementation strategies Experience with quantitative/systematic strategies within Credit Markets Strong Python programming Working expertise with OMS/EMS platforms (Charles River, TSImagine, MarketAxess More ❯