and technologies, including those outside the traditional DevOps stack. Solid understanding of both Windows and Linux operating systems. Familiarity with C# and SQL is a plus. Industry experience in derivatives, equities, commodities trading, or liquidity platforms is highly desirable. Nice to haves Kubernetes Docker GitHub (Workflows/Actions) Octopus Deploy Artifactory Atlassian Suite (Jira, Confluence) ActiveBatch Elasticsearch Power BI Business More ❯
At least five years of experience in a presales capacity targeting enterprise software solutions to hedge funds, investment managers, and other financial institutions. An understanding of financial products including Derivatives across fixed income, credit and commodities. A strong understanding of financial analytics, trading and risk management concepts and practices. Experience selling complex, high-value solutions to C-level executives Self More ❯
and control functions - Market Risk, Credit Risk, Operations etc. Experience within Financial Markets, Commodities experience preferred e.g. oil, nat gas (Day Ahead/Month Ahead), power Good understanding of derivatives and various instruments both listed and OTC Past experience of onboarding commodities products in Murex, especially Energy (oil, gas, power), Base and Precious metals, Carbon Ideally Agile Scrum Master and More ❯
and control functions – Market Risk, Credit Risk, Operations etc. Experience within Financial Markets, Commodities experience preferred e.g. oil, nat gas (Day Ahead/Month Ahead), power Good understanding of derivatives and various instruments both listed and OTC Past experience of onboarding commodities products in Murex, especially Energy (oil, gas, power), Base and Precious metals, Carbon Ideally Agile Scrum Master and More ❯
and control functions – Market Risk, Credit Risk, Operations etc. Experience within Financial Markets, Commodities experience preferred e.g. oil, nat gas (Day Ahead/Month Ahead), power Good understanding of derivatives and various instruments both listed and OTC Past experience of onboarding commodities products in Murex, especially Energy (oil, gas, power), Base and Precious metals, Carbon Ideally Agile Scrum Master and More ❯
Strong experience with systematic and quantitative trading strategies, including beta-neutral, delta-neutral, and volatility arbitrage. Proficiency in developing, testing, and executing trading algorithms and strategies. Familiarity with crypto derivatives exchanges, specifically Deribit, Binance and OKX Experience with programming languages such as Python A dynamic, collaborative and highly technical work environment Opportunities for professional growth in a rapidly evolving environment More ❯
employees. Our services include banking, trust, securities, and more. The European securities hub, Mitsubishi UFJ Securities International, based in London, employs over 600 staff and focuses on debt, equity, derivatives, and structured products. We seek individuals aligned with our vision and values to help grow our business. The Financial Planning & Analysis (FPA) Department: Responsible for budgeting, forecasting, and decision support More ❯
side institutions. Experience in trade and transaction reporting will be an advantage. A well-established network across the financial sector. Understanding of aspects of financial markets, such as trading, derivatives, and regulatory reporting. Outstanding communication and negotiation abilities. Ability to build rapport and establish long-term client relationships. Self-motivated, target-driven, and able to work independently. Ability to thrive More ❯
Looking for a career at a company that will support you, challenge you and help you grow? IG Group can provide that. We're the market leader in financial derivatives trading, with a focus on innovation and advanced IT development. We're also one of Britain's Top Employers, a ten-year trend we intend to continue. More ❯
functions Support the ICM CDM Underwriting Global Head on strategic initiatives/projects as required SPECIFIC RISK EXPERIENCE: Senior credit approval authority covering large and complex underwritings, capital commitments, derivatives with multi-industry experience Experience in and exposure to global credit risk management standards Ability to understand capital markets products and complex financing and product structures Ability to provide strategic More ❯
Looking for a career at a company that will support you, challenge you and help you grow? IG Group can provide that. We're the market leader in financial derivatives trading, with a focus on innovation and advanced IT development. We're also one of Britain's Top Employers, a ten-year trend we intend to continue. More ❯
You’ll be developing and implementing quantitative models and strategies for pricing exotic options at a world leading physical, financial energy and commodities trader. You’ll be an important addition to the Head of Options trading’s small team, helping More ❯
You’ll be developing and implementing quantitative models and strategies for pricing exotic options at a world leading physical, financial energy and commodities trader. You’ll be an important addition to the Head of Options trading’s small team, helping More ❯
South West London, London, United Kingdom Hybrid / WFH Options
Langley James Limited
C# .Net Programme Manager with project delivery skills, based near Charing Cross Station . It is a Hybrid role, 3 days in office paying upto 85k . This London-based Financial Services firm is seeking a hands-on individual to More ❯
We are seeking a highly analytical and detail-oriented Quantitative Index Researcher. The ideal candidate will hold an advanced degree in a quantitative field and have a background in derivatives or commodity research. In this role, you will focus on designing, developing, and evaluating quantitative index methodologies that underpin investment products and benchmark strategies. We'll trust you to: Design … and develop quantitative index methodologies across multiple asset classes Analyze market data, derivative structures, and commodity fundamentals to enhance index performance and robustness Work closely with product and engineering teams to integrate research models into production environments Monitor existing indices and recommend improvements to methodology and construction Document and present research findings, white papers, and model specifications to internal and … degree in Financial Engineering, Economics, Mathematics, Physics, or a related quantitative discipline 3-10+ years of experience in financial markets, preferably in a research role focused on indices, derivatives, or commodities Strong understanding of pricing models for options, futures, and other derivatives Proficiency in Python Excellent written and verbal communication skills Strong analytical thinking, attention to detail, and a More ❯
Independent model validation of quantitative methodologies, both initial and periodic, across all asset classes and model types (derivative pricing models, credit and market risk, capital models, AI models, etc. ) and in line with regulatory requirements and industry best practice. The validation regularly requires an independent implementation of the models and the implementation of alternative challenger models. KEY RESPONSIBILITIES Initial and … EXPERIENCE Essential: At least a first relevant experience in quantitative modelling (model development or validation) in one or more of these topics: Market risk models Counterparty credit risk models Derivatives pricing models Optional: Capital models (Economic/Regulatory) Corporate credit risk models (IRB, PD/LGD/EAD) Competencies: Essential: Good background in Math and Probability theory - applied to finance. More ❯
platform to commodity trading firms across the UK, with plans for further expansion and partnerships. Their software enables trading organizations to manage the full trade lifecycle of futures and derivative trades - from trade capture and pricing to live risk, P&L tracking, and position keeping. You will join the client's internal team directly to help strengthen their in-house … Knowledge of API development and integration (REST, FIX Protocol). Nice to have: DevOps experience with Azure and Terraform (Infrastructure as Code). Previous exposure to trading operations, especially derivatives, spreads, options, and futures across the commodities sector. Understanding of security definitions and trading platforms like ICE, CME, and TT, along with their associated data models and interfaces. Why you More ❯
analyse financial risk, to reviewing of client models or valuations in a similar field. As part of your role, you will: Price complex and often bespoke financial products and derivatives, sometimes building models from scratch. Develop solutions for external and internal clients based on sound quantitative models. Collect and analyse financial market data and time series. Prepare and present reports … essence of complex models and technical concepts to the team and to clients. What we look for : Practical experience of applying financial engineering techniques, e. g. modelling securities or derivative instruments; Strong technical modelling skills, with knowledge of Excel and VBA and/or other programming tools such as MATLAB, Python or R; and Experience of working in financial services More ❯
a Big 4 consultancy, or other major consultancies Successful completion of a Capital Markets graduate scheme at a Big 4 consultancy, or other major consultancy First-hand experience of derivatives or securities finance products First-hand experience of one or more of the following domains: Collateral management Post-Trade (clearing, settlement, custody, etc) Digital (digital assets, AI, crypto) 2+ years … stakeholders Strong organisational ability and attention to detail Desirable Skills & Experience Direct Project Management Office (PMO) experience, including project status tracking, reporting, RAID management, etc Cross-product experience, including derivatives (bilateral OTC/cleared OTC/listed), repo, securities lending and prime brokerage This is an exceptional role paying up to £100K. Please send CV of interested. IF YOU ARE More ❯
London time type Full time posted on Posted 30+ Days Ago job requisition id JR001702 Position Description This newly created role supports CITIC-CLSA's rapidly expanding Exchange Traded Derivatives (ETD) business, overseeing operational and trade support functions across global markets. The position involves managing day-to-day operations, engaging with exchange representatives and internal stakeholders to deliver strategic projects … Finance, and other operational departments to establish and oversee robust operating procedures. Manage, develop, and appraise staff, and foster a proactive team environment. Requirements Minimum of ten years of derivatives experience, with a focus on exchange-traded Futures & Options (F&O). Proven expertise in F&O workflow management, especially physical contracts. Strong knowledge of clearing house rules and regulations More ❯
team focused on onboarding Bloomberg's vast datasets in the Equity domain, including Core Equity content such as Reference Data & Classifications, Company Financials, Public and Private Funds Datasets, Equity Derivatives, Alternative Data and more. In this role we expect the individual to have extremely strong product management skills, domain knowledge and collaboration skills in order to effectively execute our strategy … to see: Technical proficiency (eg understanding of API design, system architecture) Knowledge of at least one non-trivial financial dataset, concepts and its manipulation (eg point-in-time fundamentals, derivatives, capital structure More ❯
markets. Wintermute is the largest crypto-native algorithmic trading company providing liquidity across all major exchanges and trading platforms. Our OTC desk offers a wide range of spot and derivatives products and supports over 2,000 counterparties across crypto natives and traditional financial institutions. We actively participate in the development of the blockchain ecosystem by being one of the largest … ideal candidate will leverage their traditional financial markets experience and apply it to Wintermute's digital asset trading business, including proprietary trading and liquidity provisioning in spot crypto assets, derivatives and tokenized financial instruments. This candidate will have an opportunity to shape Wintermute's global regulatory strategy and lead policy discussions with the UK, US and EU regulators, as well More ❯
markets. Wintermute is the largest crypto-native algorithmic trading company providing liquidity across all major exchanges and trading platforms. Our OTC desk offers a wide range of spot and derivatives products and supports over 2,000 counterparties across crypto natives and traditional financial institutions. We actively participate in the development of the blockchain ecosystem by being one of the largest … ideal candidate will leverage their traditional financial markets experience and apply it to Wintermute's digital asset trading business, including proprietary trading and liquidity provisioning in spot crypto assets, derivatives and tokenized financial instruments. This candidate will have an opportunity to shape Wintermute's global regulatory strategy and lead policy discussions with the US, UK and EU regulators, as well More ❯
team focused on onboarding Bloomberg's vast datasets in the Equity domain, including Core Equity content such as Reference Data & Classifications, Company Financials, Public and Private Funds Datasets, Equity Derivatives, Alternative Data and more. In this role we expect the individual to have extremely strong product management skills, domain knowledge and collaboration skills in order to effectively execute our strategy … to see: Technical proficiency (eg understanding of API design, system architecture) Knowledge of at least one non-trivial financial dataset, concepts and its manipulation (eg point-in-time fundamentals, derivatives, capital structure) Bloomberg is an equal opportunity employer and we value diversity at our company. We do not discriminate on the basis of age, ancestry, color, gender identity or expression More ❯