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 ❯
technology platform provider to the global capital markets industry. The company's award-winning TT platform connects to the world's major international exchanges and liquidity venues in listed derivatives alongside a growing number of asset classes, including fixed income and cryptocurrencies. The TT platform delivers advanced tools for trade execution and order management, market data solutions, analytics, trade surveillance 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 ❯
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 ❯
ability to work directly with demanding front office stakeholders Experience with real-time data feeds and low-latency requirements Preferred Skills Databricks experience Capital markets knowledge (equities, fixed income, derivatives) Experience with financial data vendors (Bloomberg, Reuters, MarkIt) Cloud platforms (Azure preferred) and orchestration tools Understanding of risk metrics and P&L calculations Please apply within for further details or 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 ❯
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 #J-18808-Ljbffr More ❯
and implementing high-performance models that underpin core pricing and risk functions. Role Overview: You will play a critical role in developing models and algorithms for the pricing of derivative instruments, with a focus on FX or fixed income products. Your work will directly support trading, structuring, and risk management efforts across global markets. Key Responsibilities: Develop and implement pricing More ❯
Infrastructure as Code (IaC) initiatives using Terraform, Ansible. Business/Market Knowledge: * Understand Front Office processes and market data flows. * Support trading desks during market hours (Equities, FX, Rates, Derivatives). Continuous Improvement: * Drive process improvements in monitoring, alerting, and release management. * Collaborate on the move toward Cloud (AWS/Azure/Private Cloud) and DevOps practices. Key Skills and More ❯
to Infrastructure as Code (IaC) initiatives using Terraform, Ansible.Business/Market Knowledge:* Understand Front Office processes and market data flows.* Support trading desks during market hours (Equities, FX, Rates, Derivatives).Continuous Improvement:* Drive process improvements in monitoring, alerting, and release management.* Collaborate on the move toward Cloud (AWS/Azure/Private Cloud) and DevOps practices.Key Skills and Experience Required More ❯
in a complex, high-volume environment. Deep expertise in BI tools (Power BI, Tableau, Qlik) and strong SQL/data modelling skills. Solid understanding of investment banking products (e.g., derivatives, fixed income, equities) and trade lifecycle. Experience with cloud-based data platforms (Azure, AWS) and modern data architectures. Strong leadership, stakeholder engagement, and communication skills. DevSecOps for reporting/visualisation More ❯
sitting within the Principal Flow Trading Stream, with a business reporting line. US based role within a global team. Your expertise Your expertise: preferably previous experience working with Equity Derivatives ideally around 5+ years of core Java experience ideally around 2+ years of UI (HTML5/Javascript) experience low latency, event driven programming paradigms performance profiling and optimization of code 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 ❯
management solutions to Risk Managers, Portfolio Managers, Business Management. Responsibilities Work in the intersection of Portfolio Management, Risk Management and Quantitative Research to develop risk analytics solutions for Equity Derivatives businesses. Collaborate with risk management for rapid prototyping and delivery of solutions to enhancement risk metrics. Develop data ingestion pipelines and analytics the generated information. Design and implement cloud-native … the ability to architect scalable and efficient solutions for trading, risk management or similar functions. Strong analytical and mathematical skills, with interest and exposure to quantitative finance and equity derivative products (desirable) Relational database development experience, with a focus on designing efficient schemas and optimizing queries. Unix/Linux command-line experience. Ability to work independently in a fast-paced … Kingdom 2 weeks ago London, England, United Kingdom 2 weeks ago London, England, United Kingdom 2 weeks ago London, England, United Kingdom 2 weeks ago Python Quant Developer - Equity Derivatives London, England, United Kingdom 1 week ago C++ Quant Dev - Quant Hedge Fund - Trading Team - £250k London, England, United Kingdom 1 week ago London, England, United Kingdom 2 months ago 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 ❯
volume environments. Advanced expertise in BI tools such as Power BI, Tableau, and Qlik, combined with strong SQL and data modeling capabilities. Solid understanding of investment banking products, including derivatives, fixed income, and equities, along with the full trade lifecycle. Hands-on experience with cloud-based data platforms (e.g., Azure, AWS) and modern data architectures. Strong leadership, stakeholder management, and More ❯
patterns, reliability, and scalability. Hands-on experience working with AWS or other modern cloud infrastructure. Good-to-have Skills Knowledge or expertise in FX, Fixed Income, Equity, or Equity Derivatives products. Experience with KDB. Understanding of modern JavaScript build tools such as node, npm, rush, yarn, webpack, babel, or Cyprus. Why this role is important to us Our Global Technology 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 ❯
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 ❯
team's mission is to develop and maintain sophisticated mathematical models, cutting-edge methodologies and infrastructure to value and hedge financial transactions ranging from vanilla flow products to complex derivative deals, as well as improve the performance of algorithmic trading strategies and promote advanced electronic solutions to our clients worldwide. If you are passionate, curious and ready to make an … team's mission is to develop and maintain sophisticated mathematical models, cutting-edge methodologies and infrastructure to value and hedge financial transactions ranging from vanilla flow products to complex derivative deals, as well as improve the performance of algorithmic trading strategies and promote advanced electronic solutions to our clients worldwide. If you are passionate, curious and ready to make an … models to production Work closely with traders and wider quant team to solve problems and identify opportunities Required Qualifications, Capabilities, And Skills You have experience in a front-office derivatives trading environment; You have outstanding analytical and problem-solving abilities You demonstrate good written and oral communication; You demonstrate strong coding and software engineering skills with a passion for technical 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 ❯
The Powai operation is a critical part of the platform to support the growth of Nomura's global business. Role Overview The successful candidate will join the Trade Processing Derivatives and Lifecycle Management team, which manages multiple applications across Fixed Income and Currencies (FIC) supporting global trading platforms for trade capture and lifecycle management. This front office-focused role involves … Excel, including functions, macros, and lookups. Basic knowledge of UNIX commands. Hands-on experience in test automation and basic programming. Domain Knowledge: Exposure to finance domain, capital markets, rates, derivative products. Credit or Rates business experience, comfortable with key business concepts. More ❯
at Private Equity Insights London, England, United Kingdom 1 week ago London, England, United Kingdom 1 week ago London, England, United Kingdom 1 day ago EMEA Head of Equity Derivatives Production Support - SVP London, England, United Kingdom 5 days ago Specialized eFX AI Trading Quant, Vice President London, England, United Kingdom 1 week ago Head of Business Development - Crypto Trading … ago London, England, United Kingdom 6 days ago Director, Corporate Partnerships – LA Lakers London, England, United Kingdom 3 hours ago London, England, United Kingdom 42 minutes ago Director, Institutional Derivative Sales - Digital Assets (EMEA Remote) City Of London, England, United Kingdom 5 days ago Greater London, England, United Kingdom 5 days ago Financial Institutions - Financing Sales Director London, England, United 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 ❯
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 ❯