Python Developer (Software Engineer Programmer Developer Python FixedIncome JavaScript Node FixedIncome Credit Rates Bonds ABS Vue Angular React Agile AWS GCP Buy Side Asset Manager Investment Management Performance Risk Attribution TypeScript Node Finance Front Office Trading Financial Services) required by our asset management client in London. You MUST have the following: Strong experience as … a Python Developer/Software Engineer/Programmer Excellent Python Experience working in trading environments (FixedIncome, equities, commodities, FX etc) Some Front End ability (Vue, React or Angular good but not necessary) Agile The following is DESIRABLE, not essential: AWS or GCP Buy-side Data tools such as Glue, Athena, Airflow, Ignite, DBT, Arrow, Iceberg, Dremio FixedIncome performance, risk or attribution TypeScript and Node Role: Python Developer (Software Engineer Programmer Developer Python FixedIncome JavaScript Node FixedIncome Credit Rates Bonds ABS Vue Angular React Agile AWS GCP Buy Side Asset Manager Investment Management Performance Risk Attribution TypeScript Node Finance Front Office Trading Financial Services Pandas Numpy Scipy) required by More ❯
Airflow Ignite JavaScript Agile Pandas 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 Senior Java Software Engineer/… Airflow Ignite JavaScript Agile Pandas 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 is responsible for the data More ❯
process. You can manage expectations effectively and have a demonstrable track record of owning delivery of a high profile product to demanding business users. You are familiar with the FixedIncome markets, both cash and derivatives, and understand the value of an intuitive, robust and reliable E-Trading systems to a trading desk. Summary: We are seeking an More ❯
in 2002 and launched its flagship global macro strategy in April 2003. The firm currently manages over $35bn and engages predominantly in discretionary directional and relative value trading in fixedincome, FX markets, and equities. BH Digital, a division within Brevan Howard that manages crypto and digital asset strategies was launched in 2022. The firm currently employs over … rotations. The training will cover a range of topics relating to Risk Management and Financial Markets including Macroeconomics, FX, Digital Assets, Interest Rate Derivatives, Equity Rates, Bonds, Credit and FixedIncome, the Greeks, Pricing Strategies, Excel and Python. Additionally, graduates will benefit from classes hosted by Risk Officers, Traders and Portfolio Managers, as well as key talks, networking More ❯
our commitment to international placements. Job Description The Business Analyst (BA) will be responsible for developing innovative front-office applications supporting the e-Commerce of Equity Derivatives (EQD) and FixedIncome products. Within this department, the Regulatory Sales Tools development team designs and develops applications essential to the sales desktop. Users are based across various divisions within the More ❯
to grow into one of the largest financial participants within the global energy complex. Overview: DV Trading, LLC is a proprietary trading firm with over 200 employees trading equites, fixedincome, FX and commodity products. DV Commodities is a rapidly growing division that specializes in trading crude oil, refined products, natural gas, and other commodities across US, European More ❯
enhance scenario generation methodologies, partner with stakeholders, and prepare reports for regulators, requiring a Master's or PhD and relevant experience. Are you looking for a challenging role in fixedincome research? Bring your 8-10 years of investment management experience to conduct credit analysis, develop market strategies, and collaborate across teams. Leverage your expertise in investment-grade More ❯
leading global investment manager, are growing their European operation and are looking to hire a senior solutions analyst to join their dynamic investment technology team in London. Focussed on fixedincome, this is a senior (director level) role working closely with portfolio managers, portfolio analysts, risk and quant research, to understand current investment tooling and data and help … design and deliver new solutions. To be successful in this role you will need a deep understanding of the asset management industry, specifically fixedincome, and specifically front office, alongside a strong technology background designing and developing innovative tooling in a similar environment. Key responsibilities will include: Engaging with the investment teams portfolio managers, portfolio analysts, risk and … day support to the portfolio management team in their use of internal tools and platforms. Key requirements: Deep experience in the asset management industry – particularly in a front office fixedincome environment. Deep understanding of the investment process – portfolio construction, allocation and risk management. Strong analytical skills with the ability to deep-dive into current tools and workflows. More ❯
leading global investment manager, are growing their European operation and are looking to hire a senior solutions analyst to join their dynamic investment technology team in London. Focussed on fixedincome, this is a senior (director level) role working closely with portfolio managers, portfolio analysts, risk and quant research, to understand current investment tooling and data and help … design and deliver new solutions. To be successful in this role you will need a deep understanding of the asset management industry, specifically fixedincome, and specifically front office, alongside a strong technology background designing and developing innovative tooling in a similar environment. Key responsibilities will include: Engaging with the investment teams portfolio managers, portfolio analysts, risk and … day support to the portfolio management team in their use of internal tools and platforms. Key requirements: Deep experience in the asset management industry – particularly in a front office fixedincome environment. Deep understanding of the investment process – portfolio construction, allocation and risk management. Strong analytical skills with the ability to deep-dive into current tools and workflows. More ❯
is responsible for managing market risk, counterparty risk and liquidity risk. The team works closely with traders across discretionary and systematic trading of macro and relative value strategies in fixedincome, foreign exchange, credit and digital asset markets. MAIN DUTIES/RESPONSIBILITIES OF THE ROLE: Risk management of fixedincome and foreign exchange macro and relative … Market Risk background Experience working directly with PMs/Traders TECHINICAL/BUSINESS SKILLS & KNOWLEDGE: Proficient in Excel and at least one programming language (e.g. VBA, Python ) Understanding of fixedincome and foreign exchange markets Strong knowledge of derivatives (linear and non-linear) Strong problem-solving skills and acute attention to detail Ability to communicate effectively at all … levels, both written and verbally Ability to prioritise multiple tasks and work under tight deadlines Understanding of fixedincome macro and relative value strategies Knowledge of SQL, VBA and Python About Us Who we are Brevan Howard Asset Management is one of the leading absolute return/hedge fund managers, overseeing assets on behalf of institutional investors from More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Durlston Partners
Product teams to 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, FixedIncome, Credit Derivatives) ⚙️ Improve : Contribute to engineering standards, tooling, and processes ✅ Test : Help develop automated end-to-end test coverage What They're Looking For Essential: BS/… Financial Markets industry Excellent English communication skills (customer-facing role) Ability to work effectively with remote, international teams Positive attitude and growth mindset Bonus Points: Experience with Interest Rates, FixedIncome, FX, or Accounting Debugging skills in object-oriented programming (C# preferred, Java, C++) Why You'll Love It There 🌍 Global Impact : Work with the latest technologies and More ❯
Product teams to 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, FixedIncome, Credit Derivatives) ⚙️ Improve : Contribute to engineering standards, tooling, and processes ✅ Test : Help develop automated end-to-end test coverage What They're Looking For Essential: BS/… Financial Markets industry Excellent English communication skills (customer-facing role) Ability to work effectively with remote, international teams Positive attitude and growth mindset Bonus Points: Experience with Interest Rates, FixedIncome, FX, or Accounting Debugging skills in object-oriented programming (C# preferred, Java, C++) Why You'll Love It There 🌍 Global Impact : Work with the latest technologies and More ❯
our own capital and trading at our own risk. Headquartered in Chicago with offices throughout the U.S., Canada, Europe, and Asia, we trade a variety of asset classes including FixedIncome, ETFs, Equities, FX, Commodities and Energy across all major global markets. We have also leveraged our expertise and technology to expand into three non-traditional strategies: real … and C++ Databases such as: MSSQL, Postgres, Redis Kafka/RabbitMQ or similar event-based platforms Data structures and design/analysis of algorithms Not required, but a bonus FixedIncome products and Interest Rate derivatives (including Risk, PnL attribution, scenario analysis, etc.) IR derivatives models (Yield Curves, Option Pricing, SABR, etc.) Statistics, discrete mathematics, linear algebra Personal More ❯
our own capital and trading at our own risk. Headquartered in Chicago with offices throughout the U.S., Canada, Europe, and Asia, we trade a variety of asset classes including FixedIncome, ETFs, Equities, FX, Commodities and Energy across all major global markets. We have also leveraged our expertise and technology to expand into three non-traditional strategies: real … transform, aggregate and disseminate pricing and related derived data, such as: Commodity Price and Yield Curves - Mark-to-market, and Mark-to-model settlement prices Option sensitivities ('greeks') and fixed-income sensitivities like DV01s and BPVs. Proprietary pricing models in collaboration with analysts and Risk Management. While previous experience in the trading and finance industry is beneficial, we More ❯
an unmatched blue-chip franchise and a strong diverse domestic and international client base. Euronext operates regulated and transparent equity and derivatives markets, one of Europe's leading electronic fixedincome trading markets and is the largest centre for debt and funds listings in the world. Its total product offering includes Equities, FX, Exchange Traded Funds, Warrants & Certificates More ❯
platforms) is required Strong numerical and financial skills with the ability to interpret financial information and able to design and use of financial models Experience and understanding of a FixedIncome Banking Environment, Product range and associated opportunities and risks Excellent analytical and problem-solving skills Demonstrated experience managing, end to end, design, definition and delivery of technical More ❯
Capula Investment Management is a leading global quantitative hedge fund with an AUM of $30 billion. We manage absolute return, enhanced fixedincome, macro and alpha strategies for a diversified group of investors worldwide. Capula invests in a broad universe of asset classes, including fixedincome, equities, currencies and commodities, as well as derivatives related to More ❯
was founded in 2002, and launched its flagship global macro strategy in April 2003. It currently manages over $34bnand engages predominantly in discretionary directional and relative value trading in fixedincome, FX markets and equities. BH Digital, a division within Brevan Howard that manages crypto and digital asset strategies was launched in 2022. The firm currently employs over More ❯
. Solid understanding of stochastic calculus , partial differential equations , no-arbitrage valuation , and numerical analysis . Knowledge of Rates Products and Models . Familiarity with instruments used in FICC (FixedIncome, Currencies, and Commodities) businesses. Experience with commodities is preferred. Technical Skills: Expertise in C++ (C+ or beyond) . Proficiency in Python and Excel . Experience with version More ❯
more. We look for creative collaborators who evolve, adapt to change, and thrive in a fast-paced global environment. Want to push the limit of digital possibilities? Start here. FixedIncome, Currency, and Commodities (FICC) Engineering plays a key role in the firm's ability to provide liquidity and execution services for institutional clients around the world, two More ❯
e-trading platforms) is requiredStrong numerical and financial skills with the ability to interpret financial information and able to design and use of financial modelsExperience and understanding of a FixedIncome Banking Environment, Product range and associated opportunities and risksExcellent analytical and problem-solving skillsDemonstrated experience managing, end to end, design, definition and delivery of technical solutions in More ❯
by credit analysts and portfolio managers. Working alongside product owners, developers and investment professionals you will play a pivotal role in shaping solutions to drive smarter investment decisions across fixedincome portfolios specifically. To be successful in this role you will need a strong BA background with deep asset management experience, specifically within credit research, and specifically related … to fixed income. Key responsibilities will include: Leading the definition and delivery of business and system requirements to support credit research, model-driven analysis and portfolio management tools. Being the SME and key point of contact between credit analysts, portfolio managers and technology teams, to ensure that business needs are translated into scalable, high-performance technical solutions. Helping shape … use of internal tools and platforms. Key requirements: Strong and demonstrable business analysis background gained in the asset management industry. Specific industry experience in Credit Research, particularly related to Fixed Income. Strong data analysis experience and the ability to interpret complex data and investment processes. Experience in data mapping and transformation. Experience with data visualisation tools such as Power More ❯
by credit analysts and portfolio managers. Working alongside product owners, developers and investment professionals you will play a pivotal role in shaping solutions to drive smarter investment decisions across fixedincome portfolios specifically. To be successful in this role you will need a strong BA background with deep asset management experience, specifically within credit research, and specifically related … to fixed income. Key responsibilities will include: Leading the definition and delivery of business and system requirements to support credit research, model-driven analysis and portfolio management tools. Being the SME and key point of contact between credit analysts, portfolio managers and technology teams, to ensure that business needs are translated into scalable, high-performance technical solutions. Helping shape … use of internal tools and platforms. Key requirements: Strong and demonstrable business analysis background gained in the asset management industry. Specific industry experience in Credit Research, particularly related to Fixed Income. Strong data analysis experience and the ability to interpret complex data and investment processes. Experience in data mapping and transformation. Experience with data visualisation tools such as Power More ❯
Press Tab to Move to Skip to Content Link Select how often (in days) to receive an alert: Create Alert AVP/VP, Quantitative Strategist, FixedIncome & Multi Asset Location: London, GB Job Function: FixedIncome & Multi Asset Job Type: Permanent GIC is one of the world's largest sovereign wealth funds. With over More ❯
/Banking Candidates will have 5+ years C++ experience and excellent knowledge of Python - ideally coming from a Financial/Banking background with knowledge of Equities, Futures & Options and FixedIncome and Exchange Connectivity. Job Overview You will work with the Product, Infrastructure and QA teams, to produce high performance, low latency and highly reliable code. Your goal … and algorithms. 2+ years of experience on Linux systems. Good understanding of modern development best practices and methodologies Python, including Pytest. Knowledge of capital markets exchange connectivity on stocks (FixedIncome and derivatives is a plus), including exchange protocols such as FIX and SBE. Most importantly, a drive to solve complex technological and trading challenges with a great More ❯