and Partner portfolio managers, primarily on an exclusive or semi-exclusive basis, across four trading strategies; quantitative, fundamental equity, tactical trading and discretionary macro & fixed income. We have created a unique structure to provide global portfolio managers with autonomy, flexibility and support to best enable them to maximize the … heavily in proprietary technology, infrastructure and risk analytics and continue to capitalize on new opportunities. In 2021 we launched our newest strategy, discretionary macro & fixedincome as part of the continual growth of Schonfeld s investible universe. Our portfolio exposure has expanded across the Americas, Europe and Asia more »
private equity valuation and investment analysis. Familiarity with Bloomberg, VBA, SQL, Python, or similar coding skills. Strong understanding of multiple asset classes, including equities, fixedincome, and derivatives. Interested candidates should send their CV to gecbarclaysimpson.com as the interview process has begun. more »
for following DevOps and CI/CD processes using frameworks such as Jenkins, Gitlab, Junit, Mockito, Cucumber etc. Familiarity with Credit Derivative products, or Fixedincome ideally. Experience with ActiveMQ or IBM MQ. Ownership mindset. You will receive Up to £850/day in-scope umbrella. A more »
Markets is a dynamic, fast-growing organisation that operates a full-service execution and clearing brokerage business covering Exchange Traded Derivatives, Cash Equities and FixedIncome, CFD s, Foreign Exchange, Repos and Structured Finance. Britannia Global Markets is part of the Britannia Financial Group https://www.britannia.com more »
broad, as well as deep. Entrepreneurial mindset and approach to solving quantitative and qualitative problems Structured products or lending experience and demonstrated knowledge of fixedincome markets Demonstrated ability to perform detailed credit analysis in private or public markets Strong analytical and quantitative skills, especially reasoning from first more »
pension funds, governments, and individuals to manage billions in assets globally. We provide access to specialist investment expertise across a range of capabilities including fixedincome, equities, multi-asset solutions, private credit, infrastructure, green investments, natural assets, real estate, and asset finance. Our commitment to Diversity, Equity and more »
EMIR, PSD2, SFTR) and key areas of regulatory focus from the FCA/PRA/EBA Working knowledge of Markets (e.g. FX, Securities Finance, FixedIncome) and Collateral Management products, and applicability of regulations to those products Keeping up to date with regulatory developments and regulatory change Strong more »
additional legal support to colleagues working on proprietary investment activities across a range of asset classes, including derivatives, direct lending, real estate, private equity, fixedincome and publicly traded securities. Analyze and advise on legal and regulatory risks as they apply to the ACP business activities, with a more »
are looking for a mid-to-senior level Quantitative Researcher with a strong background in high-frequency trading (HFT) futures, whether in equities or fixed income. You will play a pivotal role across the whole new research process, focusing on identifying and extracting alpha signals from diverse datasets, providing more »
Harrogate, West Yorkshire, United Kingdom Hybrid / WFH Options
Confidential
frequency Adhere to Consumer Duty outcomes Requirements 5+ years Investment Management, or equivalent, experience within an Asset Management firm. In-depth understanding of equity, fixedincome, and alternative assets. Passionate about markets with a keen interest in financial theory and multi-asset investing. Excellent interpersonal skills and the … Competitive salary Hybrid working 25 days annual leave + public holidays A range of benefits which includes private medical insurance, Group life insurance, and income protection insurance 6% employer pension contribution Further education and training support Discretionary performance related bonus Confidential Employee Assistance Programme 2 days per year for … Competitive salary Hybrid working 25 days annual leave + public holidays A range of benefits which includes private medical insurance, Group life insurance, and income protection insurance. 6% employer pension contribution Further education and training support Discretionary performance related bonus Confidential Employee Assistance Programme 2 days per year for more »
firm demonstrate a collegiate environment to work within. Requirements 5 years plus experience working as a Risk Manager focusing on linear interest rate products FixedIncome RV experience a significant plus Excellent academic pedigree Experience working in a top tier bank or hedge fund Due to demand, we more »
of both traded and non-traded market risk management framework, methodologies, and regulation Strong technical knowledge in asset & liability management and financial products, especially FixedIncome and foreign currencies What you need to do now If you're interested in this role, please apply below, or email the more »
firm based in London who are looking to grow their Operations function on a permanent basis who help provide liquidity in the Equity, FX, FixedIncome, Commodity & Options markets. This role will be based in the office 4 days per week; with 1 day from home. Candidates will more »
team player with strong core technical and business analysis skills to join a well-established yet rapidly evolving company. The client trades across Equities, FixedIncome, and FX On a day to Day basis the Technical Consultant will: • Install, deploy or configure the suite of Trading products. Integrate more »
currently working with a prominent algorithmic trading firm that collaborates with counterparties, exchanges, and e-trading platforms worldwide to offer liquidity across Equity, FX, FixedIncome, and Commodity markets. They ensure steady liquidity, assisting market participants worldwide in securing optimal prices across various asset classes, irrespective of fluctuating more »
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 more »
/economics/engineeringor similar Post-graduate degree Experience/Knowledge Essential: At least 5 years of APAC credit trading experience Good understanding of fixedincome products, especially bonds and CDS Desirable: Coding Skills: Python, Java, Matlab Personal Competencies Essential: Can do attitude, positive mindset, adaptability and resilience more »
in 39 cities worldwide, the firm manages 439 billion in client assets (as of September 30, 2023) across a range of strategies including equity, fixedincome, quantitative and multi-asset class, private equity and hedge funds on behalf of institutions, advisors and individual investors globally. Neuberger Berman believes more »
assets under management, as of Dec. 31, 2023. We deliver investment solutions that help investors target a broad range of outcomes and provide equity, fixed-income, alternative/private markets, multi-asset and liquidity management strategies to more than 11,000 institutions and intermediaries worldwide. Our clients include more »
+ PQE In-house experience within a financial institution (desirable) Understanding of U.S. securities laws Previous experience with structured platforms linked to equities, fixedincome, and commodities. To register an interest in this role, please send an updated copy of your CV through to kwilliams@lawabsolute.com Working through … successful and your details have not been retained. LAW Absolute acts as an employment business for temporary recruitment and as an employment agency for fixed term contract and permanent recruitment. Send me alerts about jobs like this. Please enter your email address to continue setting up an email alert more »
Skills Programme Management experience. Proven ability to lead front office system enhancements. Demonstrated ability to face off to front office stakeholders. Strong understanding of FixedIncome, Credit and Equity asset classes. Experience working within the Investment Management industry. This is an exciting opportunity to join a leading Investment more »
articulate, and define solutions that meet the client’s needs My client is based in London Professional Services, Consultant, Hosted Support, AWS, AZURE, SQL FixedIncome Implementation FINTECH BA Business analysis, XML/XPath/XSLT more »
is a leading quantitative-driven electronic market-maker partnering with counterparties, exchanges and e-trading venues globally to provide liquidity in the Equity, FX, FixedIncome, Commodity, and Crypto markets. In this role you will provide exposure across all areas of the business. You will be given the more »
London, England, United Kingdom Hybrid / WFH Options
BlackRock
s degree essential, and Postgraduate degree/CFA holder preferred. 5 years minimum of experience related to portfolio management and/or investment research. Fixedincome expertise a plus. Relevant SFC regulatory licenses, or willingness to sit for them. Good knowledge of quantitative finance theory and investment processes. more »
experience within financials markets, ideally within structured credit/SRT and Insurance Have a solid understanding of financial markets; knowledge of credit risk analytics, fixedincome solutions or capital market services; and/or experience working in a top tier banking, investor or consulting firm Experience in interacting more »