London, South East, England, United Kingdom Hybrid / WFH Options
Pontoon
to communicate testing progress and quality metrics. Knowledge, Skills & Experience We are looking for a motivated, detail-oriented individual with the following: Experience with electronic trading flows (D2D, D2C, Bloomberg, Tradeweb, algo trading, smart order routing). Understanding of interest rate derivatives (swaps, futures). Familiarity with automation testing (advantageous). Strong knowledge of SDLC in Agile environments. Technical skills More ❯
performance optimization skills Strong communication skills and ability to work with non-technical stakeholders Preferred Skills Experience with commodities indices or structured products Knowledge of market data platforms (e.g., Bloomberg, Refinitiv) Exposure to Docker , AWS/GCP , and database systems (SQL/NoSQL) Please apply within for further details - Matt Holmes, Harvey Nash More ❯
Previous experience in a trading floor or high-pressure financial environment Strong technical troubleshooting across Windows, Microsoft 365, and end-user devices Familiarity with bespoke trading applications such as Bloomberg Experience with mobile device management (preferably Microsoft Intune) Proficiency with service desk tools (Avanti, ServiceNow, etc.) Understanding of business priorities and ability to triage support based on impact and urgency More ❯
skills. Confident communicator with the ability to liaise directly with business stakeholders. Desirable Skills Experience in commodities indices, structured products, or index engineering . Knowledge of market data feeds (Bloomberg, Refinitiv, etc). Familiarity with containerisation (Docker) and cloud platforms (AWS/GCP). Database experience (SQL/NoSQL) and use of modern data formats (Parquet, HDF5). Contract: Initial More ❯
as the primary expert. Extensive experience in autonomously designing risk frameworks, writing risk policies, devising testing protocols, and conducting stress tests for prop trading. Familiarity with trading systems (e.g., Bloomberg, Murex, Calypso, or similar) and their risk management modules. Strong understanding of risk metrics (VaR, Greeks, stress testing) and financial instruments (bonds, equities) Expertise in system testing methodologies and tools More ❯