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 Fixed Income 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/Technical Lead/Solutions Architect/… 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 Fixed Income 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 used across the Front Office. The More ❯
and have a demonstrable track record of owning delivery of a high profile product to demanding business users. You are familiar with the Fixed Income 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 innovative and experienced eTrading Strategist to join our More ❯
Are you an experienced Quant Developer or Analyst with expertise in derivatives pricing, risk management, and data science? Do you enjoy innovative thinking and building tools? We are seeking a candidate who can collaborate closely with traders and sales teams, utilizing various technologies to deliver fast, market-ready applications. Responsibilities include: Developing high-quality trading and sales tools for the … generating services to clients. Examples include: Developing next-generation Trading and Structuring Pricing capabilities. Designing and building a microservice-based Pre-Trade and Pricing platform for the Global Equity Derivatives business. Migrating Excel-based pricing, parameter, and risk management tools onto web applications on the Azure cloud Analytics platform. Collaborating with trading, sales, structuring, and technology teams within the Equity … Derivatives business, which includes exchange-listed, OTC, and exotic products. Rapidly acquiring in-depth knowledge of Equity Derivatives trading and risk management from both technological and business perspectives. Team and Stakeholder Engagement: You will work within the ACQA Quant Platform team, collaborating with the wider QAD team, Quant Core platforms, and Valuation Model teams locally and globally. You will also More ❯
their strategic financial objectives by providing them with cutting-edge ideas, best-in-class products and solutions, and unparalleled access to capital and liquidity. You will join the Equity Derivatives technology team in London, specializing in developing and supporting the pricing platform that provides underlying asset prices for Global Equity Derivatives business. This team is a key partner to the More ❯
Postgres, Redis Kafka/RabbitMQ or similar event-based platforms Data structures and design/analysis of algorithms Not required, but a bonus Fixed Income 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 Traits Possesses the ability and desire to learn More ❯
quality code. Strong verbal and written communication skills. Operates with the highest degree of ethics and integrity. Nice to have: Knowledge of financial instruments & data: FX, Futures, Interest Rates derivatives, Options Proficiency in another programming language such as C#, Java or C++ Web development skills Experience with AWS More ❯
a combination of strong technical and leadership skills. You will work together with business stakeholders from Trading and Benchmark Administration Team (BAT), and with other members of the Equity Derivatives Tech development team to provide solutions that improve efficiency, decrease operational risk, and enable the business to expand and automate their current processes. You will be involved in Liaising with More ❯
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 (Fixed Income 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 team of talented developers. Comfortable More ❯
and alpha strategies for a diversified group of investors worldwide. Capula invests in a broad universe of asset classes, including fixed income, equities, currencies and commodities, as well as derivatives related to these asset classes. We are looking to hire a select number of graduates to join our London office, starting in either September 2025 or February 2026. Capula's More ❯
Traders TECHINICAL/BUSINESS SKILLS & KNOWLEDGE: Proficient in Excel and at least one programming language (e.g. VBA, Python ) Understanding of fixed income 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 More ❯
Select how often (in days) to receive an alert: Job Title: Project Manager/Business Analyst - Equity Derivatives/Structured Products Job Code: 9971 Country: GB City: London Skill Category: IT\Technology Description: Job title: Project Manager/Business Analyst - Equity Derivatives/Structured Products Corporate Title: Vice President Department: Chief Transformation Office (CTO) Location: London, UK (hybrid) Company overview … role is within the CTO International Change Wholesale Front Office team and aligned to the strategic technology transformation program sponsored by the Global Equities business, specifically focused on Equity Derivatives and Structured Products buildout. The role will work closely with business, functions and technology stakeholders to deliver complex front to back change and process efficiency to enable the business to … decision making Establish project governance and control processes throughout the project delivery Requirements : Minimum Degree from an accredited University. Strong Project Management and Business Analysis experience aligned to Equity Derivatives business and technology teams and projects. Experience in Equity Derivatives/Structured Products Trade lifecycle, Front, Middle & Back Office functions. Prior experience working closely with trading and markets front office More ❯
leading-edge technology, data and design. Team Description: EQS Engineering team works with the Equity Structuring Desk and Cross Markets team in the High-Touch transaction business of Equity Derivatives and Risk Management. The team is currently driving number of initiatives that will enable platform scale & flexibility needed for the expansion of Equity Derivative product offering to PWM clients. The … join the team who enjoys solving complex problems and is passionate about developing highly reliable and performant software systems. Overview Our platform is responsible for our Structured Product, OTC Derivative & Single Stock Risk Management businesses for our PWM clients. It comes under the Equity Structuring Group and is a growth area within the firm. The team has presence globally in More ❯
MAIN DUTIES/RESPONSIBILITIES OF THE ROLE: Responsible for building out the new cross asset quantitative analytics library for Brevan Howard, with a particular focus on credit cash and derivatives modelling Build out the library across additional asset classes, with new products, models, trade representations, pricing, risk, and calibration methods. Be comfortable communicating with and developing alongside the library clients … Review the code from other quants on the team, with a focus on the modelling. Hands-on development and testing WORK EXPERIENCE/BACKGROUND: 5+ years credit analytics/derivatives modelling 2-5 years modern C++ (20 and up), with some experience in optimising high-performance libraries Excellent financial mathematics, and implementation of numerical methods Software lifecycle management (GitHub, Jira More ❯
projects that are ongoing within Operations and Regulatory Technology space and the Business Analyst will get an exposure to all facets of FX/MM/Fixed Income and Derivatives Business, Trade Processing and Risk Management, whilst working closely with different business units within Citi. Role Overview/What will you do: Collaborate with stakeholders in Trading Business, Operations, Finance … Foreign Exchange, Trade Processing or Risk Management areas Good understanding of the full front to back workflow for at least two asset classes (FX/FI/MM/Derivatives) Familiarity with Software Development Life Cycle (SDLC) and Agile development methodologies Knowledge of FX Options, Bonds, Rates is a plus Excellent written and verbal communication skills; ability to transform business More ❯
global financial market PREFERRED QUALIFICATIONS Experience in an Operations Control Environment, Experience participating in large-scale regulatory reporting implementation projects Working knowledge of financial products across securities, exchange traded derivatives and OTC Derivatives across Equity, Credit, Interest Rates, FX and Commodities. Understanding of Margin and Valuation processes and regulatory reporting requirements Experience participating in discussions and influencing outcomes in industry More ❯
the global financial market PREFERRED QUALIFICATIONS Experience in an Operations Control Environment, Experience participating in large-scale regulatory reporting implementation projects Working knowledgeof financial products across securities, exchange traded derivatives and OTC Derivatives across Equity, Credit, Interest Rates, FX and Commodities. Understanding of Margin and Valuation processes and regulatory reporting requirements Experience participating in discussions and influencing outcomes in industry More ❯
skills. Experience with agile SDLC, TDD, Git, and CI/CD. Ability to work closely with trading desks and deliver iteratively as part of a global team. Understanding of derivatives or trading is beneficial. LI-GB About Us UBS is the world's largest and only truly global wealth manager, operating through four divisions: Global Wealth Management, Personal & Corporate Banking More ❯
for developing, integrating and implementing the technology solutions used by their Portfolio Managers, Traders and Operational teams. Additional Information Their core investment platforms are Aladdin for their funds and derivatives book of business, and a new vendor platform (tbc) for their wealth and institutional book of business. They currently have an internal data warehouse, low code workflow and dashboard platforms More ❯
office, followed by two six-month 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 Fixed Income, the Greeks, Pricing Strategies, Excel and Python. Additionally, graduates will benefit from classes hosted by Risk Officers, Traders and Portfolio Managers, as well More ❯
of the overall trading system. Responsibilities: Work alongside other software engineers, traders, and quants to develop and expand our risk management and trading platform Create scalable services for financial derivatives pricing and market data Efficient storage and access scheme for data and reference data across all frequencies, including microstructure data Building high-performance components for simulation and live trading Requirements More ❯
on experience working with AWS and/or other modern cloud based infrastructure. Good to have skills knowledge/expertise in FX/Fixed Income/Equity/Equity Derivatives products KDB Exposure and understanding in one or more of the modern JavaScript build tool chain using things like node, npm, rush, yarn, webpack, babel, cyprus Why this role is More ❯
to clients, offering strategic input on data utilisation, analytics deployment, and infrastructure best practices. Maintain up-to-date knowledge of OTC financial markets, including FX, rates, credit, commodities, and derivatives, to contextualise client conversations and solutions. Support post-sales implementation by ensuring smooth connectivity, data feed integration, and infrastructure deployment, while troubleshooting and resolving any technical issues related to market More ❯
Job Description In Goldman Sachs quantitative strategists are a the cutting edge of our businesses, solving real-world problems through a variety of analytical methods. Working in close collaboration with traders and sales, strats' invaluable quantitative perspectives on complex financial More ❯
employees across Europe, Asia-Pacific and the Americas. For more information visit Description of Department Marex Solutions, a division of Marex, is a specialist producer of tailored OTC derivatives and structured products. We are a highly entrepreneurial and fast growing manufacturer, trader and service provider of customised derivative solutions. We design and implement solutions to mitigate against market risks or … To provide front to back operational support to the Structured Product business and its customers. Overall Responsibilities A key member of the operations team providing comprehensive support to OTC Derivatives and Structured Notes business of Marex Solutions front office and clients. Report and escalate issues timely to the Head of the team as well as relevant senior management of the More ❯