Senior Calypso Business Analyst - Capital Markets Location: London, UK | Full-Time | Hybrid Work Available We are seeking an experienced Senior Calypso Business Analyst with deep expertise in Financial Markets, especially Fixed Income products to join a high-performing team in London. You'll work at the heart of technology strategy, shaping solutions that support Middle Office, Back Office … Risk Management, Static Data, and Finance & Operations. If you're driven by delivering meaningful change through technology, and have a strong command of Calypso and Fixed Income products, we want to hear from you. Responsibilities: Lead end-to-end system analysis and translate business needs into robust technical and functional specifications Partner with Engineers, Architects, and stakeholders to shape … in and influence project planning, risk management, and stakeholder engagement Requirements Bachelor's degree in a related field 7+ years' experience in Capital Markets with 5+ years hands-on Calypso expertise Strong understanding of Fixed Income, Cash, and Derivatives products Mastery of business analysis tools, SQL beneficial , as well as system architecture concepts, data flows, and technical integrations Familiarity More ❯
FINTEC recruit is seeking a Calypso Functional SME - Fixed Income (FI), Foreign Exchange (FX) & Money market (MM) to be based in London. A permanent position with salary up to £80,000 plus benefits. You will be a subject matter expert (SME) in Calypso for FI, FX and MM products Responsibilities: Working with traders, risk, and operations teams. Configure … Calypso system as per functional needs including trade capture, lifecycle management, and settlements. Provide functional support for Calypso implementation, upgrades, and BAU enhancements. Conduct functional testing, UAT support, and assist QA teams in defining test cases. Coordinate with development teams for any required customizations or integration points. Support interfaces and workflows with upstream/downstream systems like Murex … Ensure compliance with internal controls and regulatory requirements (MiFID II, EMIR, etc.). Provide training and guidance to users and junior team members. Skills and Experience required for the Calypso Functional SME role 8+ years of experience in Capital Markets with at least 4+ years of experience in Calypso (v15 or later). Strong functional knowledge of Fixed More ❯
Senior Business Systems Analyst - Calpyso Our client is seeking an experienced and highly skilled Senior Business Systems Analyst with Calypso expertise to join a dynamic team in London. This role will interact with key business areas, including Front Office, Finance & Operations, Back Office, Static Data, and Risk Management. The successful candidate will be responsible for developing and implementing robust … coach less experienced colleagues throughout the requirements management life cycle. Job Requirements: Undergraduate Degree. 5+ years of experience in Capital Markets with at least 3 years of experience in Calypso . Strong understanding of financial markets, including Fixed Income products, Cash, and Derivatives. Advanced knowledge of business technology delivery practices, including design, development, testing, and project management. Expert understanding More ❯
global organizations. Adept at creating client deliverables—impact assessments, board presentations, TOM design, change management plans. Technical Familiarity Exposure to post-trade platforms: DTCC CTM, Swift, Omgeo Oasys, Murex, Calypso, Broadridge, Xceptor. Understanding of APIs, STP design, data quality issues, and regulatory tech integrations. Why Join Us: Influence global financial market infrastructure evolution. Work with Tier 1 clients on More ❯
global organizations. Adept at creating client deliverables—impact assessments, board presentations, TOM design, change management plans. Technical Familiarity Exposure to post-trade platforms: DTCC CTM, Swift, Omgeo Oasys, Murex, Calypso, Broadridge, Xceptor. Understanding of APIs, STP design, data quality issues, and regulatory tech integrations. Why Join Us: Influence global financial market infrastructure evolution. Work with Tier 1 clients on More ❯
assets; Fixed Income e-trading workflows including pricing, quoting, hedging and execution; P&L, Greeks, sensitivities, risk explain processes & Quant libraries Familiarity with front-to-back trading systems: eg Calypso, Murex or in-house systems. Trade lifecycle knowledge: pricing, booking, trade capture, risk. Excellent stakeholder management: confident interfacing with traders, quants, dev and support ROLE & RESPONSIBILITIES: Take ownership of More ❯
Basel 2.5, Basel 3, SA-CCR, SIMM, FRTB-xVA etc. that address credit risk. Strong technical knowledge of credit risk system implementation. Exposure to platforms like Murex (MLC), Markit, Calypso, Finastra etc. will be an advantage. More ❯
Basel 2.5, Basel 3, SA-CCR, SIMM, FRTB-xVA etc. that address credit risk. Strong technical knowledge of credit risk system implementation. Exposure to platforms like Murex (MLC), Markit, Calypso, Finastra etc. will be an advantage. More ❯
organisation, from technology infrastructure through to front office Requirements Strong working knowledge and experience with Java Demonstrable experience with Spring, ideally Spring Boot 3 Understanding of DB: MSSQL and Calypso Experience with Kafka and working on a system at scale Understanding of MicroService/Container with demonstrable experience on either on-prem or cloud-based orchestration platforms Experience working More ❯
organisation, from technology infrastructure through to front office Requirements Strong working knowledge and experience with Java Demonstrable experience with Spring, ideally Spring Boot 3 Understanding of DB: MSSQL and Calypso Experience with Kafka and working on a system at scale Understanding of MicroService/Container with demonstrable experience on either on-prem or cloud-based orchestration platforms Experience working More ❯
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, with More ❯