partnerships with liquidity providers in Nigeria and other African markets. You will play a key role in optimizing our FX trading operations by analyzing market trends, managing risk, and ensuring efficient capital deployment. Collaborating closely with Finance, Product, Analytics, Data Science, and Risk & Controls teams, you will … shape our FX strategy and enhance profitability. This is a high-impact role for someone with deep experience in the FX market, strong relationships within the liquidity provider space, and a keen ability to navigate the complexities of treasury trading in the fintech remittance sector. If you thrive in … corporates in Africa to settle our FX position . experience - Treasury trading in IMTO Identify high-impact opportunities in FX P&L, trading costs, risk reduction, product/regional growth, and sustainable interest income. Work as part of a cross-functional team reporting to Finance while collaborating closely with More ❯
Business Analyst/Project Manager - Risk Technology Millennium is a top tier global hedge fund with a strong commitment to leveraging innovations in technology and data science to solve complex problems for the business. As a Business Analyst/Project Manager (BAPM) role supporting the Risk Tech team … responsible for requirements documentation, project delivery management, and collaboration with all teams involved in the software development lifecycle. You will work closely Portfolio and Risk Managers to understand their requirements, synthesize them into logical development tasks, and translate them into specifications for developers to implement. Principal Responsibilities Interface with … stakeholders across the organization at multiple levels of seniority Develop and document business requirements across risk reporting, including the distillation of many reports into common components Create a BOW featuring tech deliverables based on common components mapped to user requirements, & prioritize them in coordination with risk analysts and More ❯
Overview 🏢 Company | Global SaaS Leader in FinTech 👤 Position | Quantitative Developer 🎯 Impact | Financial Modelling, Risk Management, Real-time Analytics. 📏 Size | 400+ employees globally 🌟 Skills | C++, Python, SQL, Financial Modelling, Quantitative Analysis. 📍 Location | Greater London, England (Onsite Role) 💻 Hybrid | 4 days a week in-office (In-office role) 💰 Offer | Competitive salary … Cutting-Edge FinTech Opportunity Location: Greater London, England (Onsite Role) Are you a passionate quantitative developer ready to push boundaries in financial modeling and risk management? Join a leading global SaaS innovator that powers trading and risk solutions for some of the world's most prestigious financial institutions. … Competitive salary, annual bonuses, health and dental coverage, and a dedicated training budget to support your continuous learning. Prestige & Impact : Contribute to real-time risk management solutions used by capital markets worldwide. Your Role As a Quantitative Developer, you will: Develop advanced financial models for pricing and marketMore ❯
Overview 🏢 Company | Global SaaS Leader in FinTech 👤 Position | Quantitative Developer 🎯 Impact | Financial Modelling, Risk Management, Real-time Analytics. 📏 Size | 400+ employees globally 🌟 Skills | C++, Python, SQL, Financial Modelling, Quantitative Analysis. 📍 Location | Greater London, England (Onsite Role) 💻 Hybrid | 4 days a week in-office (In-office role) 💰 Offer | Competitive salary … Cutting-Edge FinTech Opportunity Location: Greater London, England (Onsite Role) Are you a passionate quantitative developer ready to push boundaries in financial modeling and risk management? Join a leading global SaaS innovator that powers trading and risk solutions for some of the world's most prestigious financial institutions. … Competitive salary, annual bonuses, health and dental coverage, and a dedicated training budget to support your continuous learning. Prestige & Impact : Contribute to real-time risk management solutions used by capital markets worldwide. Your Role As a Quantitative Developer, you will: Develop advanced financial models for pricing and marketMore ❯
our team, you will be responsible for supporting the global commodities in-house platform, which is essential for front-to-back functionality, encompassing pricing, risk management, market data sharing, P&L reporting, settlements, physical scheduling, trade confirmations, and regulatory reporting. Qualifications Responsibilities: Proactively monitor the trading systems. Configure … for optimal performance. Analyze and resolve production support technical and functional issues. Respond to inquiries from various teams within the bank, including traders, marketers, risk managers, middle office, and back office, keeping them informed of system issues and changes. Log incidents and provide necessary information to the core development … problem-solving and communication skills. The analyst will engage directly with multiple teams within the bank, including trading, sales, middle office, back office, confirmations, marketrisk, and accounting. Therefore, the ability to quickly grasp diverse product and process knowledge will be critical. Functional Skills: Understanding of front-to More ❯
on high-impact projects in a fast-paced front office environment . Key Responsibilities: Develop, deploy, and support front-office applications for Pricing, eTrading, Market Making, and Trade Booking. Collaborate closely with brokers, external clients, and business partners to expand and improve electronic offerings. Ensure system integration with upstream … trade execution platforms and enhance systems to meet regulatory requirements (MiFID II, UMR, IMM). Liaise with teams across Trading, Sales, MarketRisk, and Operations to gather requirements and implement key changes. Support and develop market-making tools within FX, contributing to system simplification and meeting desk More ❯
on high-impact projects in a fast-paced front office environment . Key Responsibilities: Develop, deploy, and support front-office applications for Pricing, eTrading, Market Making, and Trade Booking. Collaborate closely with brokers, external clients, and business partners to expand and improve electronic offerings. Ensure system integration with upstream … trade execution platforms and enhance systems to meet regulatory requirements (MiFID II, UMR, IMM). Liaise with teams across Trading, Sales, MarketRisk, and Operations to gather requirements and implement key changes. Support and develop market-making tools within FX, contributing to system simplification and meeting desk More ❯
with traders in credit markets (EM, bonds, derivatives, structured products). Key Responsibilities: Develop and maintain Python desk tools and C++ analytics libraries Conduct marketrisk stress testing and analyze key risk drivers Design and implement pricing models and hedging strategies Support traders and risk functions More ❯
step into a global macro hedge fund? Are you looking for a role that involves facing off to senior stakeholders? You'll be a Risk Analyst, working directly alongside Emerging Market Portfolio Managers. You will be frequently collaborating with Portfolio Manager's and will be working directly alongside … the head of risk. You'll be creating risk and VaR reports, contributing to portfolio construction and optimisation and getting firm-wide scope of different business lines here. You'll be collaborating with front office quant and engineering teams to build data-driven methodologies to streamline risk reporting … and portfolio modelling using Python and SQL. Part of this application process will involve you meeting with Emerging Market Portfolio Managers, so you will need to have had considerable exposure to Emerging Markets. You'll need to have some experience in exploring marketrisk and be proficient More ❯
step into a global macro hedge fund? Are you looking for a role that involves facing off to senior stakeholders? You'll be a Risk Analyst, working directly alongside Emerging Market Portfolio Managers. You will be frequently collaborating with Portfolio Manager's and will be working directly alongside … the head of risk. You'll be creating risk and VaR reports, contributing to portfolio construction and optimisation and getting firm-wide scope of different business lines here. You'll be collaborating with front office quant and engineering teams to build data-driven methodologies to streamline risk reporting … and portfolio modelling using Python and SQL. Part of this application process will involve you meeting with Emerging Market Portfolio Managers, so you will need to have had considerable exposure to Emerging Markets. You'll need to have some experience in exploring marketrisk and be proficient More ❯
desk day-to-day to assess impact of configuration changes before they are deployed. Coordinate releases & sign-offs with key stakeholders at the bank (MarketRisk, Model Vetting, Finance & Trading). Perform functional and non-functional testing for trading and derivatives applications, ensuring the software meets business requirements and technical specifications. More ❯
experienced Trading Business Analyst to support energy and commodities trading firms in optimizing the Endur trading platform . You will work closely with traders, risk managers, and IT teams to enhance platform efficiency and effectiveness in trading, risk management, and back-office operations. In this role, you will … Knowledge of trading instruments like OTC transactions (forwards, swaps, options) and exchange-traded futures & options lifecycle including cascading In-depth knowledge of trade capture, marketrisk, back-office processes, accounting, EOD, and system migration Proficiency with OpenLink Endur configurations and reference data management Experience in configuring Endur for … confirmations, invoicing, and scheduling Experience managing complex projects/services and knowledge of ETRM systems (Endur v18 or beyond) Understanding of energy trading and risk management (ETRM) business processes Knowledge of energy/commodity trading (Power, Emissions, Gas, Commodities) Experience with trade lifecycle processes and system integration Financial concepts More ❯
to validate requirements and identify potential improvements. Solution Design and Configuration: Configure and customize the Murex platform to support Front Office workflows, pricing, and risk management. Collaborate with developers to design and implement bespoke solutions where necessary. Ensure solutions align with industry best practices and client-specific needs. Performance … Collaborate with IT teams to troubleshoot and resolve technical issues related to Front Office operations. Understand and manage Murex's key modules, including Pricing, Market Data, Simulation, and Risk. Work with databases, scripting, and APIs for integration and data management tasks. Stakeholder Management: Act as the primary point of … Murex areas including static data setup, curves, structuring, simulations, live book, RBPL, e-trade pad configuration, pre-trade development, and P&L attribution, reporting, Marketrisk configuration (stress testing, VAR, taylor, FRTB, SIMM). Expertise in simulation/live book views, functional requirement gathering, and functional support for More ❯
break down financial borders! What you'll be doing Manage and optimize trading systems: Monitor and execute trades, ensuring alignment with strategic objectives and risk management policies. Seek out opportunities to enhance system performance and drive profitability. Monitor marketrisk exposure, implement controls, and regularly report on … trading performance metrics. Identify anomalies or potential risk factors, suggesting corrective actions and safeguards. Perform quantitative analysis: Conduct detailed analyses of trading data, market trends, and system performance to inform strategic decisions. Calculate PnL, analyse drivers and trade markouts. Automate trading processes: Develop and implement automated strategies to … streamline trading execution, reduce manual intervention, and minimize risk. Assist in coding, testing, and deploying algorithmic trading models designed to capitalize on market opportunities. Collaborate across functions: Work closely with the Finance, Engineering, and Product teams to enhance wider system functionalities and trading capabilities to enable new product features. More ❯
exciting hybrid quant role within Structured Rates at a leading investment bank. This position offers the opportunity to work directly with traders, quants, and risk teams, contributing to model assessment, optimization, and performance testing for exotic interest rate derivatives. You will work in a dynamic team of 13, where … using Python (and ideally C++). Develop automated tools in Python to streamline model testing, reporting, and documentation. Interact with cross-functional teams (traders, risk managers, validators, audit, product control, marketrisk) to ensure robust model lifecycle management. Write high-quality technical documentation in LaTeX for internal … Experience with model governance, validation, and regulatory compliance in the context of trading models. Excellent communication skills to collaborate with traders, quants, validators, and risk teams. If you're looking for the opportunity to work on complex and high-impact quantitative challenges in structured rates in a role that More ❯
exciting hybrid quant role within Structured Rates at a leading investment bank. This position offers the opportunity to work directly with traders, quants, and risk teams, contributing to model assessment, optimization, and performance testing for exotic interest rate derivatives. You will work in a dynamic team of 13, where … using Python (and ideally C++). Develop automated tools in Python to streamline model testing, reporting, and documentation. Interact with cross-functional teams (traders, risk managers, validators, audit, product control, marketrisk) to ensure robust model lifecycle management. Write high-quality technical documentation in LaTeX for internal … Experience with model governance, validation, and regulatory compliance in the context of trading models. Excellent communication skills to collaborate with traders, quants, validators, and risk teams. If you're looking for the opportunity to work on complex and high-impact quantitative challenges in structured rates in a role that More ❯
exciting hybrid quant role within Structured Rates at a leading investment bank. This is a front office position working directly with traders, quants, and risk teams, contributing to model assessment, optimization, and performance testing for exotic interest rate derivatives. Paying up to £165k base + 30% bonus. London. The … using Python (and ideally C++). 🔹 Develop automated tools in Python to streamline model testing, reporting, and documentation. 🔹 Interact with cross-functional teams (traders, risk managers, validators, audit, product control, marketrisk) to ensure robust model lifecycle management. 🔹 Write high-quality technical documentation in LaTeX for internal … Experience with model governance, validation, and regulatory compliance in the context of trading models. ✔ Excellent communication skills to collaborate with traders, quants, validators, and risk teams. If you're looking for the opportunity to work on complex and high-impact quantitative challenges in structured rates in a role that More ❯
exciting hybrid quant role within Structured Rates at a leading investment bank. This is a front office position working directly with traders, quants, and risk teams, contributing to model assessment, optimization, and performance testing for exotic interest rate derivatives. Paying up to £165k base + 30% bonus. London. The … using Python (and ideally C++). 🔹 Develop automated tools in Python to streamline model testing, reporting, and documentation. 🔹 Interact with cross-functional teams (traders, risk managers, validators, audit, product control, marketrisk) to ensure robust model lifecycle management. 🔹 Write high-quality technical documentation in LaTeX for internal … Experience with model governance, validation, and regulatory compliance in the context of trading models. ✔ Excellent communication skills to collaborate with traders, quants, validators, and risk teams. If you're looking for the opportunity to work on complex and high-impact quantitative challenges in structured rates in a role that More ❯
My client, a boutique Mayfair Hedge Fund, are seeking a talented Risk Developer, strong in Python, to join their London office and report directly to the CRO. With a consistent track record of positive returns across their fund and substantial growth in Assets under Management (AuM), the firm is … actively seeking an experienced and dynamic Risk Developer to join their team. In this role, you will collaborate closely with the CRO on diverse projects, with your responsibilities encompassing the build out and maintenance of a proprietary risk infrastructure written in Python and SQL, as well as the … creation of new databases for risk and profit & loss (PnL) analysis. They are seeking experienced candidates (7+ years of experience) who possess strong programming skills in Python and Power BI and have a solid understanding of marketrisk, VaR analytics and exposure calculations. This role offers a More ❯
My client, a boutique Mayfair Hedge Fund, are seeking a talented Risk Developer, strong in Python, to join their London office and report directly to the CRO. With a consistent track record of positive returns across their fund and substantial growth in Assets under Management (AuM), the firm is … actively seeking an experienced and dynamic Risk Developer to join their team. In this role, you will collaborate closely with the CRO on diverse projects, with your responsibilities encompassing the build out and maintenance of a proprietary risk infrastructure written in Python and SQL, as well as the … creation of new databases for risk and profit & loss (PnL) analysis. They are seeking experienced candidates (7+ years of experience) who possess strong programming skills in Python and Power BI and have a solid understanding of marketrisk, VaR analytics and exposure calculations. This role offers a More ❯
in the financial technology sector? Join our dynamic team and help us design and develop innovative software solutions in the post-trade processing and risk management space. This is your chance to work with cutting-edge technologies and contribute to a transformative project! Key Skills & Abilities: Proficient in ASP.NET … Bus. Knowledge of Azure DevOps is a plus. Proven track record in designing and implementing microservices architectures. Insight into financial markets and experience in marketrisk and post-trade settlement processing. Exceptional analytical, strategic thinking, and problem-solving skills. Strong verbal and written communication skills to effectively engage More ❯
Our client is an international financial services company focusing on wholesale and corporate banking activities. THE RESPONSIBILITIES: The job holder is responsible for providing risk reporting for the Branch’s business activities under the supervision of the Head of Department, which may include reporting activities deemed relevant. Assist in … providing administrative operations within the Department working closely with the Head of Department Prepare and complete regular risk management reports, including preparatory work such as data entry, market rate collection and data reconciliation: Ensure the filing of all the regular reports after completion of circulation to the relevant More ❯
this pivotal role, you will manage the implementation of changes in the regulatory reporting area, specifically addressing the new B3.1 and CRR3 regulations governing Market Risk. Your responsibilities will include: Leading project tasks and workstreams to ensure timely delivery of regulatory requirements. Coordinating with stakeholders, managing risks and issues … To be successful in this role, you will need: Essential Skills: A good understanding of Regulatory Capital regulations in EMEA, with Experience in the MarketRisk regulations (FRTB) is essential. Proven experience in regulatory analysis to front and middle office. Strong background in investment banking and Banking Products. More ❯
this pivotal role, you will manage the implementation of changes in the regulatory reporting area, specifically addressing the new B3.1 and CRR3 regulations governing Market Risk. Your responsibilities will include: Leading project tasks and workstreams to ensure timely delivery of regulatory requirements. Coordinating with stakeholders, managing risks and issues … To be successful in this role, you will need: Essential Skills: A good understanding of Regulatory Capital regulations in EMEA, with Experience in the MarketRisk regulations RWA, Capital Calculation, Capital reporting (COREP) and FRTB is essential. Proven experience in regulatory analysis to front and middle office. Strong More ❯
and analysis for senior stakeholders Experience developing pricing and commercial strategies for new savings products, as well as a good understanding of liquidity and marketrisk management framework is a plus! Not ticking every box? That's totally okay! Studies show that women and people of colour might More ❯