Trading as a Quantitative Researcher. What you’ll be involved in: Working on mid to high frequency trading strategies in Equities, FX, Commodities, and Fixed Income. Developing and refining trading signals, tools, and dashboards using coding and SQL queries. Leading independent research projects, including data ingestion, model development, and more »
Markit EDM Expertise: Proven experience in managing projects that leverage Markit EDM technology. Regulatory Reporting: Exposure to regulatory reporting processes is beneficial. Front Office FixedIncome Applications: Experience in this area will be advantageous. Security Mastering: Strong knowledge of security mastering, including OTC derivatives. This role is perfect more »
pricing algorithms. Required skills: Ability to code high-performance live-time data in C++20 Experience with pricing algorithms Regression testing (ideally) Experience working with fixedincome products -n bond pricing and yield curve construction Experience with version control - Git and/or Jira If interested, please contact lucia.paolinelli more »
in London, who are seeking an elite Python Developer to join their London Office. My client is seeking a skilled Python Developer with a fixedincome background to join their London Team and drive their new credit quantitative analytics platform to new heights. As a member of this more »
findings into strategies. Qualifications: Bachelor's or Master's degree. Strong experience in either systematic or discretionary trading with a focus on Index or FixedIncome ETFs. Proven track record of positive P&L. Healthy appetite for risk and the ability to manage risk effectively. Excellent analytical and more »
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 »
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 »
as a Senior Quantitative Researcher. What you’ll be involved in: Working on mid to high frequency trading strategies in Equities, FX, Commodities, and Fixed Income. Developing and refining trading signals, tools, and dashboards using coding and SQL queries. Leading independent research projects, including data ingestion, model development, and more »
looking to hire an Operations Analyst to join the London Trading Operations team. The fund has significant AuM deployed across several funds, specialising in FixedIncome, FX, Rates, Credit, Equities and Futures and Options. This is an excellent opportunity to work directly with PMs and Traders, based on … Tier 1 Investment Bank, Hedge Fund (Alternative, Multi Strat, Macro), Asset/Investment Manager. Direct experience across a wide portfolio of trade products, including FixedIncome, Interest Rates, Credit, Equities, FX Futures and Options. STEM based University Degree, with 1st or 2.1 minimum grade degree. IT Skills - Excel more »
product design and development in the financial sector Expertise in customized portfolio construction and management Comprehensive knowledge of financial assets including derivatives, forex, equities, fixed-income, ETFs, and CFDs Proficiency in Python for algorithmic trading strategy development Strong background in market and credit risk management Experience with Execution more »
desk. The firm, headquartered overseas but with a rapidly expanding presence in London, are looking for the hire to be predominantly focused on the fixedincome book, working with highly-regarded PMs and Traders fully supporting the trade execution process in this space. In addition to daily blotter more »
in quantitative finance and technology About you Strong background in C++ programming, including modern C++ Experience with financial markets and quantitative finance, particularly in fixedincome products, e.g. bond pricing and yield curve construction Experience with mathematical modelling, numerical methods, and algorithm development, and associated tooling Strong problem more »
decision-making processes into increasingly competitive markets. Responsibilities: Develop and implement quantitative models and algorithms for trading strategies across various asset classes, including equities, fixedincome, derivatives, and foreign exchange. Collaborate with traders, researchers, and software engineers to design, test, and deploy algorithmic trading strategies. Conduct quantitative research more »
teams, including Fund Managers and Traders, to ensure seamless integration and configuration of the system. Design and optimize workflows across multiple asset classes, including FixedIncome, Derivatives, and Equity. Manage application configurations within the Charles River platform, ensuring alignment with business requirements. Utilize SQL knowledge for data analysis more »
Credit, and Risk Management to develop and implement lasting and robust technology solutions. You will support & deliver solutions to the firm's FX, Commodities, FixedIncome Trading & Sales desks in Europe. Requirements Minimum 2 years experience working with Murex Engineering or Computer Science preferred or relevant industry experience more »
City of London, London, United Kingdom Hybrid / WFH Options
Jobheron
days per week. About the Company They are a global leader in high-performance multi-asset execution management and order management systems for equities, fixedincome, foreign exchange, futures, and options. Their system allows clients to completely control and customise their execution workflows through a comprehensive ability to more »
City of London, London, United Kingdom Hybrid / WFH Options
McGregor Boyall Associates Limited
development, particularly within financial markets or trading environments. You'll join a high-performing team that supports the company's trading operations in FX , FixedIncome , and Commodities . The role can be based in either London or Dublin , with full remote working options available for the right … for low-latency trading and real-time data analysis. Build and maintain core data platforms, services, and libraries supporting trading operations across global FX, FixedIncome, and Commodities markets. Collaborate directly with front-office traders and quant teams to deliver scalable, high-performance solutions tailored to business needs. … and real-time data processing . Experience with database architecture and optimizing large data sets for performance. Familiarity with financial markets, especially FICC (FX, FixedIncome, Commodities), is highly desirable. Excellent analytical and problem-solving abilities, capable of thriving in a fast-paced, high-pressure environment. What's more »
West London, London, United Kingdom Hybrid / WFH Options
Ten2Two Ltd
sector began painfully, during the Global Financial Crisis of 2008, where we had a front-row seat to watch the evaporation of liquidity in fixedincome and the near collapse of the entire short-dated funding markets. They have been on a mission to help deliver more sustainable more »
Financial Technology) Competitive salary 25 days annual leave - not including bank holidays Private medical insurance Flexible working hours Company pension Group Policies Life Assurance, Income Protection and Critical Illness Discretionary bonus Share Incentive Plan Electric Car Scheme Enhanced Maternity and Paternity Policy Workplace Nursery Scheme Our client actively encourages … Basic understanding of quality assurance. Basic understanding of regulatory implications of different trading models. Basic knowledge of vanilla listed derivatives (futures, options, swaps) and fixedincome asset classes. Business level fluency in languages other than English. Salesforce experience. more »
Python Developer (Software Engineer Programmer Developer Python FixedIncome JavaScript Node FixedIncome Credit Rates Bonds ABS Vue Angular React Agile AWS GCP Buy Side Asset Manager Investment Management Performance Risk Attribution TypeScript Node Finance Front Office Trading Financial Services) required by our asset management client … in London. You MUST have the following: Strong experience as a Python Developer/Software Engineer/Programmer Excellent Python Experience working in FixedIncome (rates, credit, bonds, ABS) Some Front End ability (Vue, React or Angular good but not necessary) Agile The following is DESIRABLE, not essential … AWS or GCP Buy-side Data tools such as Glue, Athena, Airflow, Ignite, DBT, Arrow, Iceberg, Dremio FixedIncome performance, risk or attribution TypeScript and Node Role: Python Developer (Software Engineer Programmer Developer Python FixedIncome JavaScript Node FixedIncome Credit Rates Bonds ABS more »
analysis, and n-tier service-oriented architecture. * Experience in sales and trading platforms or middle office trade processing systems in Equities/FX/FixedIncome/Derivatives domain Please apply within for further details or call on 07393149627 Alex Reeder Harvey Nash Finance & Banking more »
and exposure to tools like DataFabric is beneficial. Technology Insight: Understanding of e-trading infrastructure, specifically in FX markets, with a broader awareness of FixedIncome (FI) and FX. Strong Communication Skills: Excellent interpersonal abilities to engage and present to senior stakeholders. Project Support: Experience in supporting project more »
Leading US Investment Manager based in the City are looking to hire a FixedIncome Program Manager professional. The role requires a detailed understanding of fixedincome in an asset management firm, and proven experience off structuring, initiating, managing and delivering large complex change programs working … Required: 10+ years Asset Management experience successfully delivering programs in the front office. 4+ years proven Asset Management project or program delivery experience in FixedIncome including delivery of cross functional change projects. Good working knowledge of fixedincome instruments and processes including portfolio management. Proven more »
from scratch and where everyone is exposed to frontline IP. You will be joining a front-office systematic trading desk and will collaborate with FixedIncome Quants and Traders to develop high-impact applications that deliver real-time market data and insights, driving informed trading decisions. Your role … to meet evolving business and technical needs. Requirements: Minimum of 4+ years of experience in software engineering, preferably in a front-office role within fixed-income trading. Elite Proficiency in Python. Experience in Front-End/UI Development (React/Typescript preferred). Strong knowledge of Relational Databases more »