reconciliation. Assist with P & L, Balance sheet for Management Accounts pack. Ad hoc Projects Assist with Stock Take, Audit, Process Checks, HMRC P11D, Costings, FX update. Team Work Carry out shared duties such as filing, post etc Support your colleagues by proactively sharing workload during busy times. Contribute ideas and more »
with ideas, challenge current process and recommend solutions to deliver best practice. You will have experience in cross boarder markets, multi-currency environment driving FX strategy, used to maximising output from ERP’s such as Quickbooks, Sage or Xero. Salary up to £70k + Benefits (Hybrid) If you are a more »
their implementation. You will bring with you: 10+ years of deep experience with ERP systems and Netsuite, especially in complex areas like inventory accounting, foreignexchange and intercompany eliminations for consolidations A thorough understanding of all Netsuite accounting modules 3+ first-hand NetSuite implementations with complex, inventory-based more »
using cutting-edge tools. Calculate Net Asset Value (NAV) on a daily, weekly, and monthly basis. Reconcile final fund NAVs with fund administrators. Monitor foreignexchange exposures and advise on currency hedging. Review and reconcile records with custodians and prime brokers. Provide ad-hoc reports and analysis to more »
recognisable as the pre-eminent provider of BAAS to leading FI’s and FinTech’s. They an unrivalled suite of products with everything from FX, payments rails, card acquiring and receivables. Double digit growth year on year with continued growth expected to accelerate across all geographies in 2024/2025. more »
Our client, a global buy-side fund is looking to hire an experienced Java Developer to work in their Front Office FX team. You will be working on a large book of work, which includes greenfield development of a Trading System which is being built entirely inhouse. This is an … C++ and Python. Key skills: Expert in Java Development Prior experience on low latency Pricing or Execution Trading Systems. Front office experience from either FX, Fixed Income or Equities. Experience in Margin engine/position management Seasoned in performance optimisation – need to have built a performance testing, load testing framework more »
Our client, a leading Bank is looking to hire a Java Developer for a project within its FX Options e-Trading business. This role entails spearheading a re-platforming of their existing system that has witnessed substantial investment, offering ample opportunities for career advancement. Responsibilities: Drive the development of a … replatform within the FX Options e-Trading business. Be an SME in the FX Options space Heavy collaboration with business users and BA's to deliver requirements and design innovative solutions. Provide technical leadership and mentorship to junior team members, fostering a collaborative and growth-oriented environment. Ensure adherence to … best practices in software development, including TDD, Unit, Integration, and regression Testing. Requirements: Excellent core Java experience Extensive expertise in FX Options or other derivatives products such as Swaps, OTC, or Equity Derivatives, demonstrating deep subject matter expertise. Solid understanding of multi-threading, concurrency, and garbage collection. Strong SQL skills more »
Senior Java Developer - FX Trading Hiring at all levels, strong package and flexible salaries. Leading financial trading house who have a vibrant office on Oxford Street and have a flexible hybrid 2-3 days split between office and home are looking for a Senior Java Developer. You will join their … is a really exciting time for the company and a great time to join. Tech Stack Java React Springboot AWS Docker Kubernetes Low Latency FX If you haven't worked with these technologies before it offers a good opportunity to learn and work with some of the most in demand … at all levels, strong package and flexible salaries. If this opportunity is of interest, they are interviewing now so please apply! Senior Java Developer - FX Trading more »
Senior Java Developers - FX Trading Central London, 1 - 2 days per week onsite Mid-level up to £85,000 Senior up to £120,000 Financial Trading House A leading financial trading house in the heart of London is hiring for multiple Java developers with extensive trading & low latency experience. While … trading platform for crypto. Hiring at all levels, strong package and flexible salaries. Tech Stack Core Java, React, Springboot, AWS, Docker, Kubernetes, Low Latency FX If you haven't worked with these technologies before it offers a good opportunity to learn and work with some of the most in demand … at all levels, strong package and flexible salaries. If this opportunity is of interest, they are interviewing now so please apply! Senior Java Developers - FX Trading more »
Responsibilities: Daily trade bookings and reconciliations Cash and position management Corporate actions processing Trade settlement queries and reconciliation NAV reconciliation and expense accrual management FX hedging and fund reporting Client relationship management and issue escalation Team management and training Process improvement and project management Skills and Experience Required … with at least 2+ years on the buy side or with a Tier 1 administrator Strong product knowledge across equity, derivatives, futures, options, and FX Experience with fund structures and valuation Proficiency in systems such as Enfusion, AlphaDesk, Watson Wheatley iRecs, etc. Excellent Excel and IT skills Relationship-focused with more »
We are seeking an experienced FX Quant Trader with at least 2 years of commercial experience to join a small but fast-growing Capital Markets business in Central London. The ideal candidate will have a strong background in quantitative finance, exceptional analytical skills, and a proven track record of success … in trading FX products within a banking environment. The role requires expertise in handling order-flow and developing quantitative trading strategies to optimize trading performance, and experience in a HFT (High Frequency Trading) Low Latency environment, Responsibilities: Quantitative Analysis and Strategy Development: Utilize advanced mathematical models and statistical techniques to … analyze market data and identify trading opportunities in the FX market. Develop and implement proprietary trading strategies that capitalize on market inefficiencies and generate alpha. Conduct thorough research and backtesting to validate trading ideas and ensure robustness across various market conditions. Execution and Order Flow Management: Execute trades efficiently and more »
We are seeking an experienced and dynamic IT & Infrastructure Manager, we are a growing player in FX/Currency Exchange industry. The ideal candidate will be responsible for overseeing our IT infrastructure, with a particular focus on Azure cloud services, and ensuring compliance with ITIL (Information Technology Infrastructure Library … and enhance our IT operations effectively. Key Responsibilities: 1. **Azure Infrastructure Management:** Design, implement, and manage Azure cloud infrastructure to support the company's FX trading platforms and other critical applications. Monitor Azure services, ensuring high availability, scalability, and security. Optimize cloud resources to achieve cost efficiency while maintaining performance … or a related field. A master's degree is a plus. Proven experience (5+ years) in IT management, preferably within the financial services or FX industry. Extensive experience with Microsoft Azure, including infrastructure design, deployment, and management. Strong knowledge and practical experience with ITIL framework and best practices. Relevant certifications more »
I'm working with a prominent algorithmic trading firm that collaborates with counterparties, exchanges, and e-trading platforms worldwide to offer liquidity across Equity, FX, Fixed Income, and Commodity markets. They ensure steady liquidity, assisting market participants worldwide in securing optimal prices across various asset classes, irrespective of fluctuating market … risks and issues effectively. Comfortable with the Linux command line interface. (Desirable): Expertise in Tier 1 Internet service providers and internet exchanges. Proficiency in exchange and counterparty connectivity, precise timing infrastructure, and latency reduction strategies. Knowledge of multicast protocols (IGMP/PIM), IPsec tunnels, and VPNs. Familiarity with monitoring more »
Having both is desirable. Familiarity with a range of CI/CD/DevOps toolsets; Jira, GitHub, Jenkins in particular. Desirable: Knowledge includes, Java FX, QT, MISRA and Google Understanding of Linux command line. Python skills could help. Software Engineer C++ and Java Job Description: The Mission Planning and Control … CD/DevOps toolsets; Jira, GitHub, Jenkins in particular. Mandatory knowledge of C++ or Core Java. Having both is desirable Desirable knowledge includes, Java FX, QT, MISRA and Google Test. more »
front desk Review and maintenance of branch FTP policy Assist to prepare quarterly/semi-annual/annual reports to Head Office Assist Branch ForeignExchange Risk Management Assist Branch banking book interest rate risk management Support collating of business statistics figures for internal management reports and regulatory more »
sheet accounts at month end including highlighting large movements impacting cash flow statement Analysis of the ForeignExchange exposure and understanding the FX results Review of all mark to market valuations including internal marks for non-quoted markets Setting annual transfer price between trading entity and European refineries … knowledge of SAP, ITAS and Microsoft Office Ability to work under pressure to meet strict deadlines Have experience of world market commodity trading including FX, Futures and Options. Experience in SAP and BI or equivalent data warehousing and reporting tools. Have advanced Excel modelling skills and the ability to adapt more »
Responsibilities: Update the Treasury Balances and Daily positions report. Monitor the Treasury Limits utilisation and make applications for limit renewal and increases. Execution of FX, MM, Bond and IRS/CCS deals via dealing platforms, with subsequent MiFiD II reporting where appropriate. Assist in managing the Bond Investment portfolio; sourcing more »
CEO/SMF1 vacancy - FX/CFD broker Required! We are currently recruiting for a CEO/SMF1 position for an international FX/CFD broker. They have recently acquired a UK based broker, which will become their flagship UK base for operations. They are subsequently looking for an experienced … CEO with solid experience within SMF1 function with the CFD/FX/Spread industry. You must have solid relationship with the FCA through both BAU and more sensitive activities. You will need to hit the ground running and push the business in the right direction to grow within the more »
Manchester, North West, United Kingdom Hybrid / WFH Options
SF Recruitment (Manchester)
well as monitoring daily cash positions and forecast short-term cash flows to ensure efficient liquidity management and management of daily money market and FX dealing. This role will suit a candidate who has experience in all aspects of the above named treasury responsibilities who is looking to continue developing more »
Responsibilities Update the Treasury Balances and Daily positions report. Monitor the Treasury Limits utilization and make applications for limit renewal and increases. Execution of FX, MM, Bond and IRS/CCS deals via dealing platforms, with subsequent MiFiD II reporting where appropriate. Assist in managing the Bond Investment portfolio; sourcing more »
Bank’s foreignexchange exposure Manage the Bank’s Money Market and Cash management portfolio including HQLA Key profit & loss responsibility for FX Income, fixed income and money market activities. Develop and maintain commercial relationships with correspondent Banks, Sovereigns, and Central Bank’s and Governments Make a significant … day trading activity, managing the Market, liquidity, interest rate, and credit risk of all trade related activity Manage the Bank’s Interest Rate and ForeignExchange Risks Ascertain the funding requirements of the various business units by assessing their liquidity needs and implementing strategies to provide funding in more »
development Strong understanding of financial markets, risk management, and treasury operations Proficiency in SQL and database design Experience with financial derivatives, fixed income, or foreignexchange products is a plus, BUT not essential Excellent communication skills and ability to work in a fast-paced environment Requirements Proficiency in more »
Committee · Assist Risk Managers to identify, evaluate and manage the risks of trading strategies across multiple asset classes including Equities, Fixed Income, Credit and FX · Implement and maintain risk models and perform back-testing and stress testing to ensure the accuracy and effectiveness of risk management & trading strategies. · Proactively explore more »
Stevenage, England, United Kingdom Hybrid / WFH Options
MBDA UK
Analyse variances against forecast and budget, and provide explanations for cash variances. * Optimise services offered by relationship banks, aligning with Group Treasury guidelines. * Manage FX exposure risks and lead hedging activity for UK projects. * Review monthly FX balances and make recommendations for spot deals. * Support ongoing improvement activities within the … looking for from you: * Good knowledge of Excel * Experience of SAP * Strong leadership skills * Strong analytical and financial skills * Significant experience in Treasury and Foreignexchange risk management * Cash flow forecasting expertise * Ability to persuade, challenge, and influence in an international environment * Ability and commitment to work to more »