Derivative Jobs in England

76 to 100 of 111 Derivative Jobs in England

Sr Sales director London uk

London, United Kingdom
Confidential
priorities. Strong oral and written communication skills with internal stakeholders and clients C-level/Senior Management Knowledge of post trade advantageous in particular derivatives, collateral management, securities would be advantageous. ABOUT: DTCC safeguards the financial markets and helps them run efficiently, in times of prosperity and crisis. We are more »
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AVP, Liquidity Metrics Analytics & Planning

London, United Kingdom
Confidential
with Liquidity Risk Limit Standard Role Requirements Knowledge of a global markets business and the risk profiles of their associated securities products (for example derivatives; prime brokerage; secured funding and structured lending.), and ideally knowledge of their impact on Liquidity metrics Experience of working with a trading desk on trade more »
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Managing Consultant Energy & Utilities Digital

London, United Kingdom
Confidential
who have line management experience and a network within the Energy industry, ideally covering some of the following technical areas, solar, wind, hydrogen and derivatives, energy storage, CCUS, e-mobility, and other related subjects. Management experience of delivery teams or demonstration of outstanding leadership skills is advantageous. Ideally, you will more »
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C+ Software Engineer - Equities Derivatives- Market-Leading Global Hedge Fund London, UK

London, United Kingdom
Confidential
C++ Software Engineer - Equities Derivatives- Market-Leading Global Hedge Fund C++ Software Engineer - Equities Derivatives Summary Fantastic chance for a C++ Engineer with substantial server-side coding experience to join one of the world's most prestigious hedge funds. Joining a talented team of other engineers, QA and production support … you'll be designing and developing an equity derivatives pricing & risk system for the PMs, Middle Office and Risk Managers. The work will be a mix of software development, web app development, and testing code via approved frameworks while facing off to the business and understanding their needs. The successful … front office finance experience Bachelor's in Computer Science (CIS), Mathematics or Physics from a top-tier university Desirable General market knowledge of equity derivatives Experience developing real-time pricing/risk applications (any asset classes) Benefits & Incentives Strong salary + bonuses High-impact role Collaborative & innovative culture Generous benefits more »
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Regulatory Operations – Transaction Reporting – Vice President

London, United Kingdom
Confidential
markets, regulatory landscape and associated processes Working knowledge of financial, operational, reputational risk Working knowledge of financial products, e.g. equities, fixed income, exchange traded derivatives, OTC derivatives is an advantage Working knowledge or expertise in European non-Financial Regulatory Reporting functions across Derivatives and Equities Working knowledge of project management more »
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Kotlin Developer – Equities Derivatives Strategic Pre-Trade Technology – AVP – (Hybrid)

London, United Kingdom
Hybrid / WFH Options
Confidential
completely re-engineer the front office technology platform, to support business expansion plans to close the gap to competition. You will join the Equity Derivatives strategic pre-trade technology team in London, specializing in building and supporting the development of a secondary markets trading platform to be used by the … and enable the business to expand and automate their current processes. Role Overview: This role is specifically for a Senior Kotlin Developer within Equity Derivatives strategic pre-trade technology team in London. This is a great opportunity for a self-driven, strong and passionate technologist to help transform Equities Derivatives … practices and maintaining clean CI/CD pipelines Extensive experience system analysis and in programming of software applications Bonus points for Understanding of Equity Derivatives technology or experience with other asset classes within Markets Kotlin development experience Knowledge of Equity Derivatives products and product lifecycle Experience working with UI frameworks more »
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Controllers-London-Vice President-Quantitative Engineering

London, United Kingdom
Confidential
across revenue areas, Risk, and Engineering. Why join the team? Broad exposure to pricing and calibration models for a variety of financial products, including derivatives, illiquid cash products, private equity, etc. Exposure to challenging quantitative problems such as modeling risks for derivatives, large scale Monte-Carlo simulations of complete portfolios … Develop quantitative models in 3 areas Independent price verification models that govern key business strategies and decisions related to valuation of products including complex derivatives and hard to value private investments Revenue analysis and modelling that governs new activity review, valuation adjustments and sign-off of daily P&L for more »
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Global Banking & Markets, Quantitative Market Making Strat, VP, London

London, United Kingdom
Confidential
complex financial and technical challenges power our business decisions. We are a team of desk strategists who work to transform the FICC and Equity Derivatives businesses by automating the key decisions taken every day. Our team has a wide remit including automatic quoting, optimizing hedging decisions and developing algorithms to … trade derivatives on venues around the world. We also deploy statistical analysis techniques and mathematical models to enhance the decision making process, with the overall aim of improving business performance while working closely with traders and salespeople on the trading floor. Role Responsibilities Take a leading role on our Quantitative more »
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FAM UK - Senior Multi Asset Portfolio Manager

London, United Kingdom
Confidential
risk framework Day-to-day portfolio management, including in relation to overseeing daily cash flows, controlling portfolio exposures, adhering to risk limits, managing FX, derivatives and hedges Presenting before colleagues and formal committees, including in relation to strategy, performance and outlook Preparing regular reports and supporting sales groups and distribution … and sectors to perform Expertise in macroeconomic research with a focus on global equities Experience with designing and implementing hedging and overlay strategies through derivatives Competencies, Qualifications, Skills Required Minimum undergraduate degree with strong academic record. Professional designations such as CFA, CAIA, or equivalent may be beneficial Competencies in asset more »
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Quantitative Developer

London, United Kingdom
Hybrid / WFH Options
Confidential
Quantile offers market-leading optimisation services that reduce counterparty risk, notional and capital requirements to increase the efficiency and liquidity of derivatives markets, improve returns for clients, and make the financial system safer. We are part of LSEG s Post Trade division, where we connect a network of participants and … integer programming, and convex optimisation Experience with at least one commercial or open-source optimisation library or a mathematical modelling language Understanding of financial derivatives, margin and counterparty credit risk measures A solid mathematical background (numerical methods, linear algebra, partial differential equations, probability & statistics) Knowledge of AWS This role is more »
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Senior Software Engineer

London, United Kingdom
Confidential
develop infrastructure that will help bring millions to DeFi. About Bluefin We're building cutting-edge, decentralized exchange infrastructure in our vision to advance derivatives trading, the largest market by trading volume We've settled over 10 Billion in derivatives since January 1, 2024, and are backed by Susquehanna, Brevan more »
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Senior Data Software Engineer

London, United Kingdom
Confidential
modeling financial instruments and alternative datasets is a problem that continues to grow in complexity with the increasing sophistication and interconnected nature of global derivatives markets. We are looking for a Data Software Engineer to join our Global Data Engineering team to build a new framework for modeling financial instruments … in the cash and derivatives space that can be used in tandem with internal and external datasets to better inform low, medium, and high frequency trading strategies. Who we are: Optiver is a tech-driven trading firm and leading global market maker. As one of the oldest market making institutions more »
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Legal, Global Banking & Markets, Fixed Income, Currency and Commodities Lawyer, Vice President,[...]

London, United Kingdom
Confidential
with a broad range of stakeholders, including trading, structuring and investment banking businesses, compliance, internal audit and operations. SKILLS, EXPERIENCE AND QUALIFICATIONS A general derivatives or structured finance lawyer across a range of asset classes At least 3 years post qualification relevant experience in a comparable institution or in a … well-regarded law firm Familiarity with regulations that impact derivatives and/or structured finance businesses Ability to explain complex legal concepts in an accessible way Excellent communication skills, both oral and written Ability to prioritise work effectively, be pro-active in a challenging business environment and to respond to more »
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Manager Quantitative Risk Management

London, United Kingdom
Confidential
Description Description CME Group is the world's leading and most diverse derivatives exchange. The role will be part of the CME Clearing Quantitative Risk Management department. Our Quants team are working with complex and advanced modelling and we're looking for someone ready for a new challenge to join … with the proven theories in the field. Design and develop pricing and risk models across different various asset classes like Fixed Income Cash and Derivatives, OTC and Exchange-traded Futures and Options (e.g. Pricing, VaR, Backtest, Stress, Liquidity, etc.). Ensure risk models meet the risk appetite across varying needs … interpolation, integration, regression, root-finding, optimization, linear algebra, Monte-Carlo) Fixed Income financial mathematics Experience: 4-6+ years of experience in pricing complex derivatives and performing advanced statistical analysis on underlying risk factors. Very strong expertise (3+ years) with Bond Mathematics, Fixed income Pricing and Risk modeling as well more »
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Senior Vice President - Underwriter

London, United Kingdom
Confidential
SCO designation) including assessment of portfolio risk, liquidity of client positions, credit limits and risk appetite ratios Manage credit exposures to EMEA clients across derivatives, financing and direct lending products. Majority of the portfolio is NBFIs (Regulated Funds/Leveraged Funds, Pension Funds, Asset Managers) Advise and approve large transactions … Skills: Strong analytical skills with good attention to detail and a demonstrated aptitude for tackling analytical issues Risk management of financial products such as derivatives and financing transactions. Ideally the candidate will have a good grasp of financial risk calculations (VaR, Stress Testing) Ability to work well with cross-functional more »
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Front Arena Consultants for projects in London

London, United Kingdom
Confidential
Front Arena Consultants for projects in London, Frankfurt, Dubai and Minneapolis We urgently require a Front Arena Developer with at least 2 years experience of having developed and worked with Front Arena at a financial institution. You must also have more »
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Junior Trader, Equity Derivatives

London, United Kingdom
Confidential
Junior Trader, Equity Derivatives page is loaded Junior Trader, Equity Derivatives Apply locations London time type Full time posted on Posted 29 Days Ago job requisition id JR000446 Key Areas of Responsibility (KRA s) Collaborate with traders, quants and IT to develop trading and market making strategies aimed at improving more »
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Equities Quantitative Analyst, VP

London, United Kingdom
Hybrid / WFH Options
Confidential
whose mission is to serve as a trusted partner to our clients by responsibly providing financial services that enable growth and economic progress. The Derivative Quant Team operates within the Equity Quantitative Analysis (EQA) division to support the growing Citi Investment Strategies (CIS) franchise. Citi Investment Strategies offers to both … clients quantitative index strategies, covering a broad range of asset classes and financial instruments through transparent, rules-based strategies. Within this space, the CIS derivative Quant team assists CIS business with the development and risk management of QIS indices derivative products. What you will do Implement and continuously improve our … analytic pricing library and risk models of CIS Derivatives products, Implement new analytics to support CIS business activities, Collaborate within the CIS Derivative Quant team and Equity Quant team overall, Take ownership of assigned project and deliver adequate solution within timelines, Provide clear communication on quantitative solution and project status more »
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Risk, Credit Risk - Private Wealth Management, Vice President, London

London, United Kingdom
Confidential
and risk counterparts on the basis of a thorough understanding of credit fundamentals, of leveraged capital structures and of risks associated with lending and derivatives products. You will be responsible, from a Credit Risk standpoint, for a portfolio of private client across EMEA, and you will be expected to manage … it on the basis of a deep understanding of credit fundamentals, market trends, impact of changing regulation requirements and risks associated with lending and derivatives products transactions. Assess the credit and financial strength of the firm's private client borrowers and risk counterparts by performing fundamental credit analysis using both … transactions, client margin terms, product risk analysis and new policy & product initiatives. Coordinate with PWM business teams, PWM legal, Operations, Compliance departments to approve derivatives business, margin terms, approve exceptions and ensure appropriate documentation, limits and risk mitigants to protect against a counterpart default and minimize potential losses. Analyse the more »
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Quantitative Developer (Python) Hedge Fund

London, United Kingdom
Confidential
Python) to join one of their established trading teams in London, working directly under the portfolio manager. Python, Rapid App/Tactical Development and Derivatives experience is required. Responsibilities: Maintain and design of an internal Cross-Asset risk system, external Cross-Asset databases and electronic execution platforms (upgrading systems, ensuring … Design and develop rapid tools in Python that will be crucial for analysis, research, automated trading, and risk management purposes. Develop pricing models for derivative instruments. Maintain and develop a back-testing tool for complex trading strategies. Develop predictive tools and market screeners for the different members of the team. more »
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(Senior) Java Developer (Real Time Risk / Margin Systems) Engineering London, United Kingdom

London, United Kingdom
Confidential
a seamless and secure trading experience for our clients. Responsibilities Responsible for the full-stack design, development and implement products and solutions for our derivatives exchange platform in a number of micro-service based components Work closely with product management team to continuously optimise existing or develop new models/… programming in java Knowledge on market risk Preferably experience at an Investment Bank, Hedge Fund or Exchange developing trading applications in Equity, FX or Derivative products in traditional or crypto market Adapt and understand TDD methodology, experience on doing automated testing Strong desire for do things better, attention to detail more »
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Legal Counsel (80-100% working degree)

London, United Kingdom
Confidential
transactions and formation of investment funds. Provide additional legal support to colleagues working on proprietary investment activities across a range of asset classes, including derivatives, direct lending, real estate, private equity, fixed income and publicly traded securities. Analyze and advise on legal and regulatory risks as they apply to the … institution Experience and understanding of securities law and regulation in cross-border scenarios; and ideally an understanding of re/insurance business. Experience in derivatives and/or asset management is a plus. Demonstrable expertise in managing legal aspects that affect complex, multi-jurisdictional transactions, including transactional experience in negotiating more »
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Alpha Account Services Client Implementation Lead, Vice President

London, United Kingdom
Confidential
deliver effective investment solutions. From core custody, accounting, fund administration and shareholder recordkeeping, to complete operations solutions and servicing for alternative assets like OTC derivatives, private equity and real estate, the tools help our clients make better investment choices and act on growth opportunities. Join us if making your mark … deliver effective investment solutions. From core custody, accounting, fund administration and shareholder recordkeeping, to complete operations solutions and servicing for alternative assets like OTC derivatives, private equity and real estate, the tools help our clients make better investment choices and act on growth opportunities. Join us if making your mark more »
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Index Derivative Broker

London, United Kingdom
Confidential
Job Description Nexus Broking is an interdealer broker specialising in Equities and Equity derivatives in EMEA. It has offices throughout EMEA from London to the Middle East. It deals as the conduit between professional clients on Equity Cash, Listed Derivatives and OTC products. Our Goal is to provide professional and … highly experienced and professional team of brokers allowing us to deliver services second to none. Nexus Broking is now seeking to hire Equity Index Derivative Brokers . The successful candidates will have the opportunity to work in one of our EMEA offices in London, Paris, Madrid, Monaco or Dubai. As … a key player you will be part of a growing and experienced team of Equity Cash and Derivative professionals. You will receive market leading remuneration along with an array of normal corporate benefits in line with the position. Main responsibilities within the position include: Product development, designing appropriate strategies to more »
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Interim Head of Balance Sheet Management

London, United Kingdom
Hybrid / WFH Options
Confidential
the Balance Sheet Management team for at least 12 months. This person will be responsible for the bank s front office execution including booking derivatives recommended by the ALM team. In addition they will also be managing the bank s HQLA portfolio, day-to-day liquidity, as well as maintaining … rate risk management concepts and techniques Along with the Director of Treasury, managing the bank s interest rate risk exposure through the use of derivatives, typically interest rate swaps Effective management of drawings from the SMF (such as ILTR) to provide liquidity alongside the deposit raising operation. Management of the … environment All round Treasury product knowledge A good understanding of the PRA regulatory landscape and the ILAAP as well as good knowledge of financial derivatives Degree holder from reputable institution Relevant professional qualification such as the AMCT, ACA, ACCA, CFA etc preferred First Name Last Name Telephone Number Email Address more »
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Derivative
England
10th Percentile
£72,500
25th Percentile
£85,000
Median
£115,000
75th Percentile
£148,750
90th Percentile
£165,000