Greater London, England, United Kingdom Hybrid / WFH Options
MSCI Inc
engagements and pre-sales activities. Successful candidates will have a thorough knowledge of market risk measurement and management, pricing of asset types (including equity, fixedincome, commodities, and derivatives), highly quantitative skills and an ability to guide institutional clients to better use our products for assessing risks and … Barra or RiskMetrics models and software a plus. Deep understanding of global financial markets, including modeling and pricing of different asset types in the fixedincome, equities, commodities, and credit markets and their derivatives Knowledge of the main European regulatory frameworks for asset managers and banks Superior communication … ideally from finance/engineering/mathematical background. What we will offer you: Depending on your location of your role, you can expect … Competitive fixed and variable compensation, holiday/vacation allowance & retirement savings plans/pensions Employee Resource Groups to support you in and out of the office more »
and Python. Key skills: Expert in Java Development Prior experience on low latency Pricing or Execution Trading Systems. Front office experience from either FX, FixedIncome or Equities. Experience in Margin engine/position management Seasoned in performance optimisation – need to have built a performance testing, load testing more »
Oxford, Oxfordshire, United Kingdom Hybrid / WFH Options
Understanding Recruitment
of the first engineers on greenfield projects, with their core stack of Python, Django and React, building the platform from scratch and revolutionising the fixedincome market through modern dealing systems and real-time exchange.This is the opportunity to work in a start-up environment where you'll more »
private equity valuation and investment analysis. Familiarity with Bloomberg, VBA, SQL, Python, or similar coding skills. Strong understanding of multiple asset classes, including equities, fixedincome, and derivatives. Interested candidates should send their CV to gec@barclaysimpson.com as the interview process has begun. more »
Candidates: 4+ years of relevant experience ensuring data quality Bachelor’s degree in a STEM field Experience with Equities, OTC Derivatives (options, swaps, futures), fixedincome, and money markets Familiarity with Bloomberg, LSEG, ICE, etc.; IVP familiarity is a plus Experience with Excel and basic SQL To discuss more »
Expertise: Utilize advanced financial modeling and quantitative analysis to design and evaluate structured products. Leverage in-depth knowledge of various asset classes, including equities, fixedincome, derivatives, and alternative investments. more »
compliance advice. Demonstrable experience of dealing with the regulatory change agenda in the asset management sector. Understanding of different asset classes, including equity, credit, fixedincome, derivatives and alternative investments. Excellent working knowledge of FCA rules and industry best practice. For further information please contact Spencer Evans more »
common understanding of requirements The PMO will be involved from Day 1 in a major cross bank trading data and delivery project focused on fixedincome trading. The PMO will ideally have a background in Trading Technology or an understanding of trading cross asset. This is a unique more »
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 FixedIncome, ETFs, Equities, FX, Commodities and Energy across all major global markets. We have also leveraged our expertise and technology to expand into more »
least 5 years’ experience developing trading platforms in Java Experience with Relational Databases Experience with collaboration tooling including Git, BitBucket, Confluence, etc. Experience with FixedIncome is ideal Experience in a similar front-office or high paced environment liaising with stakeholders. Compensation is dependent on experience. more »
join their Markets Operations programme. Key Requirements 10+ years of experience in a Financial Services Technology role Demonstrable experience in Markets financial products (Equities, FixedIncome, Commodities, Derivatives) or Payment flows and their lifecycle Excellent communication skills, with the ability to build strong relationships Ability to work independently more »
has delivered both investment performance and growth in assets under management. Insight manages assets across its core liability-driven investment, risk management, full-spectrum fixedincome, currency and absolute return capabilities. Insight has a global network of operations in the UK, Ireland, Germany, US, Japan and Australia. More more »
m working with a prominent algorithmic trading firm that collaborates with counterparties, exchanges, and e-trading platforms worldwide to offer liquidity across Equity, FX, FixedIncome, and Commodity markets. They ensure steady liquidity, assisting market participants worldwide in securing optimal prices across various asset classes, irrespective of fluctuating more »
is a leading quantitative-driven electronic market-maker partnering with counterparties, exchanges and e-trading venues globally to provide liquidity in the Equity, FX, FixedIncome, Commodity, and Crypto markets. In this role you will provide exposure across all areas of the business. You will be given the more »
assets under management, as of Dec. 31, 2023. We deliver investment solutions that help investors target a broad range of outcomes and provide equity, fixed-income, alternative/private markets, multi-asset and liquidity management strategies to more than 11,000 institutions and intermediaries worldwide. Our clients include more »
has delivered both investment performance and growth in assets under management. Insight manages assets across its core liability-driven investment, risk management, full-spectrum fixedincome, currency and absolute return capabilities. Insight has a global network of operations in the UK, Ireland, Germany, US, Japan and Australia. More more »
with IT implementation activities, including appropriate training of Business and IT support teams. Candidate profile: You must have expert experience working with Charles River Fixedincome experience is highly needed, along with equity experience, and swaps. An interest in Business Analysis is a bonus. Demonstrable ability to liaise more »
targets). The ideal candidate will be at Director-level and have defined experience raising assets from UK and/or Irish investors for fixedincome/credit funds. The firms offers a range of both long-standing and newer strategies, and the capital formation team benefits from more »
minimum of 2 years of direct RFP/DDQ experience with a global asset manager. Strong understanding of investment markets and processes, including equity, fixedincome, alternatives, and multi-asset classes. Good knowledge of the institutional and advisory marketplace and the markets for our investment strategies and funds. more »
Quant Researcher - Systematic FixedIncome RV, Expanding Multi-Manager Fund, London Summary We are working on the build-out of a groundbreaking venture within a multi-manager platform traditionally known for its discretionary fixedincome strategies. This new endeavor seeks to blend the art of systematic … trading with the platform's established track record in global fixedincome investing. This newly established trading unit will focused on European Government Bonds, Swaps, and Futures, and we're assembling a team to redefine their approach to the financial markets through advanced quantitative research and machine learning. … The Role: As a Quant Researcher for Systematic FixedIncome RV strategies you will join at ground zero of a newly forming trading pod led by an experienced Senior Portfolio Manager. This is an extraordinary chance to shape the development and execution of quantitative strategies in a fully more »
Treasury Dealers, who are responsible for the Bank’s Interest rate risk strategy within defined parameters Deputise for the Head of Treasury, particularly regarding fixedincome investment and trading and implementing strategies in a profitable manner. Manage the Bank’s foreign exchange exposure Manage the Bank’s Money … Market and Cash management portfolio including HQLA Key profit & loss responsibility for FX Income, fixedincome and money market activities. Develop and maintain commercial relationships with correspondent Banks, Sovereigns, and Central Bank’s and Governments Make a significant contribution to the implementation of the Bank’s Strategy … of 8 years working in Treasury in Financial Services, ideally in banking Extensive knowledge of regulatory frameworks. Significant knowledge of trading, risk management, ALM, fixedincome and derivatives. Professional qualifications (ACT, CFA, certBALM, or otherwise) would also be beneficial This role will be based in the City of more »
very high standard as well as helping to continue to grow the business.The team work closely with four LDI Portfolio Managers and increasingly our FixedIncome Portfolio Managers as solutions become more credit focused. Role Responsibilities Client Management •Understand Insight products and strategies and how these can be … has delivered both investment performance and growth in assets under management. Insight manages assets across its core liability-driven investment, risk management, full-spectrum fixedincome, currency, and absolute return capabilities. Insight has a global network of operations in the UK, Ireland, Germany, US, Japan, and Australia. More more »
Managers, and the Investment Committee · Assist Risk Managers to identify, evaluate and manage the risks of trading strategies across multiple asset classes including Equities, FixedIncome, Credit and FX · Implement and maintain risk models and perform back-testing and stress testing to ensure the accuracy and effectiveness of more »
Team Player: Exceptional comms skills are necessary, with the ability to collaborate with technical and non-technical teams across the business. Bonus points for fixedincome and/or derivatives knowledge. Minimum of a Bachelor's degree in Computer Science or a related field. If successful, you can more »
experience in C# development Strong understanding of financial markets, risk management, and treasury operations Proficiency in SQL and database design Experience with financial derivatives, fixedincome, or foreign exchange products is a plus, BUT not essential Excellent communication skills and ability to work in a fast-paced environment more »