applications Strong understanding of network programing and Linux O/S internals Strong understanding of object oriented programming and data structures Understanding of SQL and relational databases. Knowledge in Equities, Futures, FX, Options and various Fixed Income products are strongly preferred Willingness to work flexible hours Degree educated, preferably in Computer Science or related subject Detail oriented; demonstrates thoroughness and More ❯
able to thrive in a demanding front-office environment - Highly motivated team player but also capable of working independently Nice to have: -Strong knowledge of financial markets, derivative products (equities and commodities) -Electronic trading support experience -Knowledge of options and futures operations/clearing -Knowledge of Citrix servers' management Additional Information Hybrid working from Central London More ❯
clients better. Your expertise Undergraduate/Master's degree in Economics, Finance, or Financial Engineering (preferred) Financial qualifications such as CFA, CIMA, FRM are a plus Comprehensive understanding of Equities and Fixed Income businesses Strong mathematical and analytical skills Curious and determined to investigate, challenge, and find solutions Ideally 3+ years of experience in the Financial Services industry Experience with More ❯
across EMEA, APAC, and the US Required experience: 3+ years in a quant developer, execution strategy, or algo trading environment (buy-side or sell-side) Strong understanding of European equities market structure, venue fragmentation, and order routing Hands-on development experience with Java (concurrency, low-latency logic) or Python for analytics and modelling Background in quantitative research, electronic trading, or More ❯
landscape is rapidly going through a process of digitisation, at the core of which is eTrading. eTrading at ING covers all products traded in ING FM. These include cash equities, futures, commodities, FX and Fixed Income products (corporate and government bonds). Main Duties and Responsibilities of Role: The Global Head of eFI will create the vision to ensure that More ❯
and trading at our own risk. Headquartered in Chicago with offices throughout the U.S., Canada, Europe, and Asia, we trade a variety of asset classes including Fixed Income, ETFs, Equities, FX, Commodities and Energy across all major global markets. We have also leveraged our expertise and technology to expand into three non-traditional strategies: real estate, venture capital and cryptoassets. More ❯
and trading at our own risk. Headquartered in Chicago with offices throughout the U.S., Canada, Europe, and Asia, we trade a variety of asset classes including Fixed Income, ETFs, Equities, FX, Commodities and Energy across all major global markets. We have also leveraged our expertise and technology to expand into three non-traditional strategies: real estate, venture capital and cryptoassets. More ❯
this large Financial Institution (Investment Bank) as a Front End Developer you will be joining a small team of developers to build a range of UI's in the equities risk domain. Previous Financial Services experience is not required. Essential functions Design and development of scalable, high-traffic systems Championing engineering best practices across the team Building full-stack applications More ❯
and trading at our own risk. Headquartered in Chicago with offices throughout the U.S., Canada, Europe, and Asia, we trade a variety of asset classes including Fixed Income, ETFs, Equities, FX, Commodities and Energy across all major global markets. We have also leveraged our expertise and technology to expand into three non-traditional strategies: real estate, venture capital and cryptoassets. More ❯
and trading at our own risk. Headquartered in Chicago with offices throughout the U.S., Canada, Europe, and Asia, we trade a variety of asset classes including Fixed Income, ETFs, Equities, FX, Commodities and Energy across all major global markets. We have also leveraged our expertise and technology to expand into three non-traditional strategies: real estate, venture capital and cryptoassets. More ❯
and growth. Business Segments Overview: Institutional : Immerse yourself in the best-in-class institutional-grade technology, working alongside industry experts and gaining exposure to various asset classes, such as equities, options, fixed income securities, and advanced trading, research, and management technology. Retail : Empower individual investors - and yourself - in the world of retail through a range of different financial products rooted More ❯
President Multi-Asset Sales (Buy Side), you will contribute to generating new business opportunities and expanding existing relationships with the buy-side clients across various asset classes, such as equities, fixed income, FX, and derivatives. You will leverage your extensive knowledge of EMS/OMS/OEMS and the buy-side workflow to demonstrate the value proposition of our innovative More ❯
concurrently, overseeing the delivery of software throughout the SDLC and escalating risks to delivery where appropriate. An understanding of regulated markets, trading venues and cross-asset instruments (such as equities and ETFs but also listed derivatives and bonds) will also be beneficial. Affinity with the technical aspects of trading will be a positive. Responsibilities and Duties: Business Analyst -FinTech/ More ❯
You Proven experience as a Senior Business Analyst or equivalent leadership role within investment management or investment operations. Strong knowledge of investment products and operations, including fixed income, derivatives, equities, and ETFs. Demonstrated ability to lead and mentor a team, establish and maintain documentation and analysis standards, and drive continuous improvement across the BA function. Excellent communication skills, with the More ❯
IIBA (International Institute of Business Analysis)
What you will bring Degree level is preferred but not essential 3+ years' experience in regulatory reporting Good product knowledge across all Fixed Income Products (Bonds, Futures, Options, Derivatives) (Equities is not required). Knowledge of EMIR Refit regulatory reporting is essential Knowledge of MIFID II Transaction T+1 regulatory reporting is desired but not essential Knowledge of MIFID II Post More ❯
client is a successful and well established Systematic Hedge Fund with offices in London, Paris, New York and Singapore. They have been very successful in the HFT/Intraday Equities space, but recently have expanded into UHFT with teams working on satellite/FPGA technologies, as well as longer-term investment style strategies. They are actively hiring Junior Quantitative Researchers … for multiple Equities, FX and Futures teams. Responsibilities Research and analyse large datasets, extracting patterns and trends. Gather insights to build and deploy systematic trading strategies. Monitor performance and behaviour of existing strategies, looking to enhance where possible. Collaborate with other Quantitative Researchers on wider team projects. Contribute to Quantitative frameworks and infrastructure used by the team and firm. Requirements More ❯
PNL and ROC. In return we offer genuinely market leading salaries and bonus/revenue share working within a well respected and Global Team. Our client operates across Crypto, Equities, Derivatives and FX Trading and willing to support through non compete clauses too. All Researchers/Traders looking to maximise career opportunity and earnings should apply for more info. More ❯
PNL and ROC. In return we offer genuinely market leading salaries and bonus/revenue share working within a well respected and Global Team. Our client operates across Crypto, Equities, Derivatives and FX Trading and willing to support through non compete clauses too. All Researchers/Traders looking to maximise career opportunity and earnings should apply for more info. More ❯
and develop understanding of the code stack. Coordinate project structure and management using JIRA. Supervise valuation methodology development by senior team members. Enhance understanding of pricing models for Rates, Equities, XVAs, and FX. Manage a team of three experienced Associate Directors. What do you need to succeed? Must-have Experience in derivative modelling, mainly Rates, with exposure to other areas … like Equities, FX, or Commodities. Proficiency in Python programming. Experience with project management tools like JIRA. Code change management experience using GitHub. Strong focus on delivering working software to production. Excellent attention to detail and code review skills. Experience mentoring senior team members. Masters or PhD in a quantitative field such as Quantitative Finance, Physics, Mathematics, Engineering. Extensive experience in More ❯
reusable frameworks across multiple asset classes. Collaborating closely with traders, quants, and product teams in a highly autonomous environment. Developing high-performance, low-latency applications. Asset class knowledge (FX, equities) or experience in trading systems is a strong plus. Why Apply: Greenfield low latency platform. Work at the intersection of technology and trading. Join a cross-asset, horizontal team building More ❯
arrangements (TRWG). Your Profile Strong in-depth understanding of MiFIR and EMIR regulation. Good knowledge of the execution and clearing of various asset classes including Exchange Traded Derivatives, Equities, CFDs, Fixed Income and Foreign Exchange. Experience of the LSEG UnaVista platform or a similar ARM/Trade Repository. Good understanding of Microsoft Office (Excel in particular); other data analytics … arrangements (TRWG). Your Profile Strong in-depth understanding of MiFIR and EMIR regulation. Good knowledge of the execution and clearing of various asset classes including Exchange Traded Derivatives, Equities, CFDs, Fixed Income and Foreign Exchange. Experience of the LSEG UnaVista platform or a similar ARM/Trade Repository. Good understanding of Microsoft Office (Excel in particular); other data analytics More ❯
in a fast-paced trading environment? We're looking for a seasoned professional with 5+ years of hands-on experience in Murex Datamart development , working across asset classes like Equities, Commodities, IRD, and FX Cash . What You'll Do: Design, build, and optimize Datamart components (extractions, feeders, scripts, tables, etc.) Collaborate with trading, risk, and finance teams to deliver More ❯
expectations. Ideal Candidate: Strong hybrid experience as both Business Analyst and Project Manager within banking. Experience working on data management/governance related projects Good experience with FICC or equities asset class. Demonstrated success in delivering regulatory, compliance, or risk-related projects. Exceptional stakeholder management and communication skills across business and technology teams. Experience working in global transformation programmes; familiarity More ❯
development, with the potential to manage risk capital independently or transition into a lead PM role over time. Key Responsibilities: Design, research, and implement systematic trading strategies across global equities, futures, FX, or other liquid asset classes Conduct high-quality alpha signal research using alternative data, statistical techniques, and machine learning when appropriate Develop and test robust portfolio construction, execution More ❯
development, with the potential to manage risk capital independently or transition into a lead PM role over time. Key Responsibilities: Design, research, and implement systematic trading strategies across global equities, futures, FX, or other liquid asset classes Conduct high-quality alpha signal research using alternative data, statistical techniques, and machine learning when appropriate Develop and test robust portfolio construction, execution More ❯