Project Manager, Risk IT, Banking £650 - £700pd via Umbrella London Project Manager, Risk IT, Risk Management, FX, FixedIncome, Data, SQL, Agile, JIRA, Analytics, Financial Services, Banking A global Bank are currently seeking a Senior Project Manager with prior Business Analysis or Technical Analysis/Development experience within Banking. The role requires in-depth Risk IT experience in More ❯
Project Manager, Risk IT, Banking £650 - £700pd via Umbrella London Project Manager, Risk IT, Risk Management, FX, FixedIncome, Data, SQL, Agile, JIRA, Analytics, Financial Services, Banking A global Bank are currently seeking a Senior Project Manager with prior Business Analysis or Technical Analysis/Development experience within Banking. The role requires in-depth Risk IT experience in More ❯
Our client is looking for a graduate calibre who has between 2-7-years’ multi-asset class Hedge Fund, or Asset Management Hedge Fund Trade Support experience. Products covered: FixedIncome (Government and Corporate Bonds) Credit Derivatives Interest Rate Swaps FX Equities Futures & Options. OTC Options (Vanilla & Exotic) The role involves dealing with multi-counterparties and stakeholders and More ❯
of traditional datasets and an interest in exploring the developing field of ESG data. Key responsibilities: Work closely with Head of ESG and the investment teams across equities and fixedincome strategies to support the integration of ESG data into the investment process. Maintain and develop the internal data management platform and ensure that data used by the More ❯
The Senior Data Analyst will support a range of ESG quantitative analysis to support the Global Sustainability team as well as members of the equity, fixedincome and multi-asset team focused on providing customized sustainable solutions. The Global Sustainability team are subject matter experts on environmental and social issues and work in tandem with the Governance team 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 ❯
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 ❯
our own capital and trading 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 three non-traditional strategies: real More ❯
Progress toward or completion of CIPM, CFA, or similar professional qualification is advantageous. Demonstrate a solid understanding of performance and attribution methodologies across all asset classes, i.e. Brinson attribution, FixedIncome attribution and multi-asset attribution. Knowledge of performance platforms such as Aladdin, Factset, Statpro, Bloomberg, Morningstar. Proficiency in Excel; experience with SQL, or other data tools is More ❯
our own capital and trading 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 three non-traditional strategies: real More ❯
our own capital and trading 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 three non-traditional strategies: real More ❯
our own capital and trading 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 three non-traditional strategies: real 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 ❯
Understanding of/experience dealing with major financial institutions including Asset Managers, Hedge Funds, Broker Dealers, Pension Plans, and/or Consultants; Strong understanding of the global equity and fixedincome markets; A self-starter and highly motivated; ability to work individually and within a team; Thorough understanding of the investment management process; Someone who enjoys intellectual and More ❯
London, England, United Kingdom 2 weeks ago Goldman Sachs Alternatives - Investment Grade Private Credit Investing - Vice President - London London, England, United Kingdom 2 weeks ago Investment Operations - Trade Support - Fixed-Income Asset Manager Sales Support - Private Equity - Investment Management London, England, United Kingdom 2 weeks ago London, England, United Kingdom 1 week ago Were unlocking community knowledge in 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 ❯
covering post execution capabilities spanning product aligned Middle Office groups, Settlements, Margin, Asset Servicing, Listed Derivative & Commodities Operations. We support an extensive range of products and services including FX, FixedIncome, Equities, and Commodities. We are part-way through a multi-year journey to deliver a target state of Operations, encompassing end to end target operating model, controls More ❯
SolAdmin tool use and Solace event & system logs. Working knowledge & experience network protocols (TCP/IP, UDP, multicast) and networking/connectivity troubleshooting skills Good understanding of Equity and FixedIncome markets. Excellent problem skills within the Market Data and Solace environments. Excellent written and oral communication skills. Experience collaborating directly with vendors and exchanges. Proven project management More ❯
Belfast, County Antrim, Northern Ireland, United Kingdom
Hays
for a Project Manager to join a global financial institution's Middle Office Transformation Team in Belfast. This is a senior-level opportunity to lead multiple strategic initiatives across FixedIncome business lines including FX, Spread, Rates, and Treasury. The successful candidate will play a key role in delivering regulatory, operational, and process improvement programmes, working closely with … Support the design and delivery of training materials for operational teams. Essential Criteria Proven experience managing large-scale transformation programmes within financial services. Strong understanding of global markets, particularly Fixed Income. Excellent stakeholder management and communication skills. Advanced project management and business analysis capabilities. Proficiency in MS Excel and PowerPoint; JIRA experience is a plus. Ability to lead front More ❯
expertise. Experience building production pipelines - with Databricks Data Business experience working around Trading data/Risk is a must! Understanding of regulatory reporting processes. Financial product knowledge e.g. - equities, fixedincome, derivatives. Experience on Azure cloud platforms. What you'll get in return Flexible working options available. What you need to do now If you're interested in More ❯
Employment Type: Contract
Rate: £750 - £800/day £700-800 Per Day (Inside IR35)
with information security best practices. Experience with BPM implementation (advantageous). Proven ability to handle design dependencies within matrix organizations. Business & Sector Expertise (Desirable): Understanding of asset management, including fixedincome, equities, and multi-asset portfolio analytics. Familiarity with indexes and benchmarks. More ❯
with information security best practices. Experience with BPM implementation (advantageous). Proven ability to handle design dependencies within matrix organizations. Business & Sector Expertise (Desirable): Understanding of asset management, including fixedincome, equities, and multi-asset portfolio analytics. Familiarity with indexes and benchmarks. More ❯