global financial technology (fintech) provider of front & middle office solutions for Investment Banks, Asset Managers, Hedge Funds and Fund Adminstrators, looking for a portfolio risk analytics expert with a fixedincome edge to join their growing multi-asset solutions team. Working with an award winning analytics platform, this is a client facing role engaging with customers to help … and career growth in a variety of roles, depending on your personal interests. Appropriate candidates will have the following experience and skills: Domain knowledge in portfolio analytics such as fixedincome portfolio risk, performance attribution, pricing or a similar quantitative area. It would be even better if your fixedincome experience included the use of derivatives … is open to a variety of career experiences such as at an Asset Manager, Hedge Fund, Fund Administrator or Investment Bank in a Risk Analyst, Performance Analyst, Quant Analyst, FixedIncome Analyst, Portfolio Analyst or FixedIncome Trading type role, or at a technology company or consultancy. Experience using any of the following risk management solutions More ❯
E-Trading & Post Trade Implementation Specialist - Financial Solutions Location London Business Area Sales and Client Service Ref # Description & Requirements The world's market leaders in Equities, FixedIncome, Currencies and Commodities rely upon Bloomberg for transparent data, powerful analytics and seamless execution. Our market leading E-Trading Venues and Order Routing Network help our customers to discover … correctly scoped out, tested, and delivered efficiently and on time. You will manage both buy side and sell side implementations covering Equities, ETFs and listed derivatives as well as fixedIncome products, including cash and Derivatives across Credit and Rates business. This is a highly cross-functional role. You'll partner with Sales, Product, and Support teams, manage … eye to risk, dependencies, and opportunities to improve processes and solutions. You'll demonstrate deep product knowledge and understanding of the Equities and Listed Derivatives communities as well as fixedincome markets, how these products are traded electronically in the market, technology, operational workflow and trading activities. You'll be comfortable in a rapidly changing environment, have a More ❯
The world's market leaders in Equities, FixedIncome, Currencies and Commodities rely upon Bloomberg for transparent data, powerful analytics and seamless execution. Our market leading E-Trading Venues and Order Routing Network help our customers to discover value, trade and report with total confidence. E-Trading Implementations play a pivotal role in integrating clients with our FIT … correctly scoped out, tested, and delivered efficiently and on time. You will manage both buy side and sell side implementations covering Equities, ETFs and listed derivatives as well as fixedIncome products, including cash and Derivatives across Credit and Rates business. This is a highly cross-functional role. You'll partner with Sales, Product, and Support teams, manage … eye to risk, dependencies, and opportunities to improve processes and solutions. You'll demonstrate deep product knowledge and understanding of the Equities and Listed Derivatives communities as well as fixedincome markets, how these products are traded electronically in the market, technology, operational workflow and trading activities. You'll be comfortable in a rapidly changing environment, have a More ❯
communication, and operational workflows. Work on forward-looking cashflow projection systems that help investment professionals assess anticipated fund flows and make strategic decisions. Implement logic and tooling related to fixedincome and derivative instruments, ensuring accurate integration of financial characteristics into investment platforms. Build and manage production-ready Python applications, incorporating development best practices including code versioning, testing … as a quant developer or analyst within a financial institution. Demonstrable Python experience in a collaborative, version-controlled production environment. Familiarity with financial markets and instruments, especially derivatives and fixedincome products. Exposure to systems involving data movement or transformation (ETL processes) is beneficial though not central to the role. Strong verbal and written communication skills, with a More ❯
communication, and operational workflows. Work on forward-looking cashflow projection systems that help investment professionals assess anticipated fund flows and make strategic decisions. Implement logic and tooling related to fixedincome and derivative instruments, ensuring accurate integration of financial characteristics into investment platforms. Build and manage production-ready Python applications, incorporating development best practices including code versioning, testing … as a quant developer or analyst within a financial institution. Demonstrable Python experience in a collaborative, version-controlled production environment. Familiarity with financial markets and instruments, especially derivatives and fixedincome products. Exposure to systems involving data movement or transformation (ETL processes) is beneficial though not central to the role. Strong verbal and written communication skills, with a More ❯
demonstratable subject matter expert knowledge on collateral management and liquidity measures, able to lead the team on key topics and manage offshore resources o Strong experience and knowledge of fixedincome, equities, collateral and key drivers of liquidity o Understanding of secured financing transactions including repurchase agreements (repos), reverse repos, and securities lending and trading and borrowing o … is alignment on the delivery of key initiatives Experience within a Treasury department and strong liquidity management background within a financial institution Strong financial product knowledge and experience in fixedincome and equity products Understanding of HSBC group structure and product range and excellent understanding of the HSBC Group operational structure and its global businesses and functions Self More ❯
A strong understanding of the trade lifecycle and related control processes is essential. While solid knowledge of equities is preferred, experience in at least one asset class such as fixedincome, credit, FX, or commodities is also valued. Lastly, a proficiency in Python is essential; applicant should have hands on experience building tools to support and automate operational More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Black Swan Group
A strong understanding of the trade lifecycle and related control processes is essential. While solid knowledge of equities is preferred, experience in at least one asset class such as fixedincome, credit, FX, or commodities is also valued. Lastly, a proficiency in Python is essential; applicant should have hands on experience building tools to support and automate operational More ❯
reporting, and NAV calculations. We operate with flexibility and a flat structure, and you will have real ownership of sectors under your coverage. Responsibilities and Impact Develop into a fixedincome sector specialist with structured training and support from senior colleagues. Gain real-time awareness of bond markets and observe how macroeconomic events influence trading and prices. Work … asset manager, hedge fund, data vendor, or investment bank or similar financial institution is desirable. Experience with Excel, Python, or SQL is desirable. Additional Preferred Qualifications Some exposure to fixedincome or derivatives valuation methods. Detail-oriented with the ability to deliver accurate work under time pressure, consistently. Strong communication skills, with the confidence to support internal and More ❯
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 FixedIncome products are strongly preferred Willingness to work flexible hours Degree educated, preferably in Computer Science or related subject Detail oriented; demonstrates thoroughness and strong ownership of work More ❯
development. Experience working with large and diverse datasets to generate trading insights. Background in quantitative finance, econometrics, asset pricing, or macroeconomics. Familiarity with macro markets (Equity indices, Currencies, Commodities, FixedIncome) is highly desirable. Experience utilizing alternative data sources to develop and deploy trading strategies is a plus. This is an exciting opportunity for a driven Quantitative Researcher More ❯
City Of London, England, United Kingdom Hybrid / WFH Options
Hays
Understanding of the index lifecycle, benchmark configuration, and market data distribution (e.g. Bloomberg, MSCI, FTSE Russell). Strong knowledge of banking products across all asset classes, including equities and fixedincome . Ability to operate in a lean, high-impact team, mentoring others and managing complex internal dependencies. Skilled in project planning, stakeholder communication, risk management, and budget More ❯
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 FixedIncome 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 ❯
Competitive salary 25 days annual leave - not including bank holidays Can opt to join Private Medical insurance scheme Hybrid working Flexible working hours Company pension Group Policies - Life Assurance, Income Protection and Critical Illness Discretionary bonus Can opt to join Electric Car Scheme Enhanced Maternity and Paternity Policy Can opt to join Workplace Nursery Scheme Length of service holiday … ability to learn these in the role is a must. Essential: Experience as a business analyst, with a demonstrated ability to build out requirements for trading technology solutions in fixedincome or/and equities. Fluency in English, including reading, writing, and speaking. A proven track record of delivering multiple projects, ensuring timely delivery and quality of work. More ❯
finance, and political risk. The ideal candidate will have a demonstratable interest and experience of using AI tools. We are a rapidly expanding team of experienced economists, FX/FixedIncome/Credit/Commodity Analysts and former traders drawn from the investing banking, hedge fund and macro research industries. We deliver real-time analysis and insight on More ❯
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 fixedincome, 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 ❯
Volatility & Capital Structure Arbitrage, Event-Driven Investing, Equity Long/Short & Capital Markets Trading, and Global Quantitative Trading. We are seeking a Quantitative Analyst to join one of our FixedIncome trading teams. This is an ideal position for an early career applicant looking to join an investment team with a path to eventual alpha generation and portfolio More ❯
market data and analytics and connect them with trading counterparties and the wider community of Bloomberg Terminal subscribers. Our Trading Research & Analytics team is composed of experts in Equities, FixedIncome, and FX trading and quantitative research. We are focused on transforming the financial industry by creating cutting-edge trading tools that enhance efficiency and drive performance. Our More ❯
building high-performance distributed software in the cloud with C#. 5+ years of experience in C++ and Python development. Strong knowledge of IR and FX pricing models and the fixedincome markets. Comfortable working in both Linux and Windows environments Experience building Excel add-ins. Experience working on high performance multithreaded systems Strong communication skills A passion for More ❯
life cycle. Job Requirements: Undergraduate Degree. 5+ years of experience in Capital Markets with at least 3 years of experience in Calypso . Strong understanding of financial markets, including FixedIncome products, Cash, and Derivatives. Advanced knowledge of business technology delivery practices, including design, development, testing, and project management. Expert understanding of business analysis processes, techniques, system components More ❯
Office Experience : Proven ability to operate in a fast-paced investment environment, translating quantitative insights into actionable decisions and meet tight deadlines. Knowledge: Financial Product Knowledge : Good understanding of fixedincome products, derivatives, and familiarity with LDI strategies. Strong Financial modelling : Derivative modelling, especially LPI Regulatory Insight : Solid understanding of Defined Benefit pension schemes and Solvency II. Technical More ❯
for Teammates With: A Bachelor's degree in STEM, statistics, or mathematics 10+ years of work experience trading corporate bonds (domestic and international) and credit derivatives; experience trading other fixedincome securities a plus Firm understanding of credit market structure and familiarity with a wide range of implementation strategies Experience with quantitative/systematic strategies within Credit Markets More ❯
Work closely with internal XFN partners on client experience and feedback, internal processes, and onboarding What we look for in you: 2+ years of relevant experience in equity or fixedincome financing, prime brokerage or derivatives businesses Experience in data science and programming (Python, SQL, etc.) Demonstrated knowledge in fiat and crypto funding market fundamentals Strong communication skills More ❯
IIBA (International Institute of Business Analysis)
order management, dealing with Fund Managers/Traders) Applications experience with Charles River Investment Management System or Equivalent (competitor) Good Investment Management and market instrument knowledge - Front Office workflows; FixedIncome/derivatives, Equity, Compliance, IBOR, PMA, Ex-Ante and Ex-Post Risk and Scenario Analysis A specific previous area of focus e.g. Risk systems, IBOR, Scenario Analysis More ❯
especially valuable. Hands-on experience implementing or supporting investment management software, preferably an order management and compliance system is especially valuable. Substantive in one or more of the following: fixedincome, equity financial instruments. Understanding of investment management or wealth management workflows, derivatives, and FX instruments. Technically savvy: understanding of multi-tier technical architectures and relational database structures More ❯