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 More ❯
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 More ❯
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 More ❯
on the dynamic world of Repo markets. Job summary As a Analyst or Associate in Automated Trading Strategies, you will be primarily focusing on FixedIncome Financing (Repo) markets. The Automated Trading Strategies (ATS) group is responsible for systematic trading across FX, Rates, Commodities, and Credit markets, designing More ❯
As a premier global asset management organization with more than 85 years of experience, we provide investment solutions and a broad range of equity, fixedincome, and multi-asset capabilities to individuals, advisors, institutions, and retirement plan sponsors. We take an active, independent approach to investing, offering our More ❯
benchmarking, asset allocation, customization and product creation leveraging the unparalleled power of Bloomberg data and research. Indices are available across multiple asset classes including FixedIncome, Equities, Commodities, Currency, Interest Rates, Multi-Asset Strategies, and Alternatives as well as Thematics, Climate and ESG with full integration with the More ❯
technology staff both internally & externally. We'd love to see: Detailed asset class lifecycle experience in at least one of these asset classes: Equity, FixedIncome, Currency & Commodities, Derivatives. Highly motivated, consensus builder, collaborates well in a team and across wider business. Excellent written and oral communication skills. More ❯
BA/BS or equivalent experience Knowledge of index data and the day-to-day needs of index users across various asset classes including fixedincome Demonstrated ability to develop thorough, integrated, commercially sound product plans Proven track record in working independently to develop and grow financial data More ❯
experience of defining and implementing Business Transformations or Data projects in a global bank or consulting firm Experience with Capital Markets products (Equity/FixedIncome), with understanding of operations, support and control areas preferred Strong organizational skills with a demonstrated ability to lead teams through direct and More ❯
London, England, United Kingdom Hybrid / WFH Options
Deutsche Bank
deliver the efficiency, control, and transformation goals of the Bank. You will be dedicated to the X-Value Adjustment (XVA) trading desk within the FixedIncome & Currencies business in the Investment Bank helping to build risk management and (pre-deal) pricing tools (XVA modelling and book risk management More ❯
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 More ❯
benchmarking, asset allocation, customisation and product creation leveraging the unparalleled power of Bloomberg data and research. Indices are available across multiple asset classes including FixedIncome, Equities, Commodities, Currency, Interest Rates, Multi-Asset Strategies, and Alternatives as well as Thematics, Climate and ESG with full integration with the More ❯
TT platform connects to the world's major international exchanges and liquidity venues in listed derivatives alongside a growing number of asset classes, including fixedincome and cryptocurrencies. The TT platform delivers advanced tools for trade execution and order management, market data solutions, analytics, trade surveillance, risk management More ❯
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 More ❯
Design and implement advanced market surveillance rules across various business lines, particularly FX SWAP transactions. Analyze market trends and patterns across FX, equity, and fixed-income transactions to identify potential risks and anomalies. Review and investigate alerts generated by monitoring systems to determine their validity and take appropriate More ❯
involved in all aspects local management and statutory reporting, with a focus of trading desk reporting, including derivative accounting, FX forwards and spot and fixed income. To be successful in this role, you will be highly organised, detail oriented, and able to frequently assess and reorder priorities. You also More ❯
permanent basis. The position will be based in London. For further information about this position please apply. Develelop pricing models and trading systems for FixedIncome, Gov Loans, EU Gov Bonds, convertible bonds, supporting real-time trading strategies and portfolio management. Automate workflows for curve calibration and large More ❯
swaps. Engage in strategic discussions with senior management and business leaders to enhance international hiring, reduce operational risk,and streamline global support for the fixedincome e-trading business. Successfully lead desk projects in collaboration with North American teams. More ❯
swaps. Engage in strategic discussions with senior management and business leaders to enhance international hiring, reduce operational risk,and streamline global support for the fixedincome e-trading business. Successfully lead desk projects in collaboration with North American teams. More ❯
Required: 5+ years compliance experience, ideally within a hedge fund or investment manager Strong understanding of surveillance and knowledge of various asset classes including fixedincome, equity, and derivatives An in-depth understanding of the hedge fund industry & strong general compliance experience Good level of knowledge of FCA More ❯
Required: 5+ years compliance experience, ideally within a hedge fund or investment manager Strong understanding of surveillance and knowledge of various asset classes including fixedincome, equity, and derivatives An in-depth understanding of the hedge fund industry & strong general compliance experience Good level of knowledge of FCA More ❯
developers. Engage in strategic discussions with senior management and business leaders to enhance international hiring, reduce operational risk, and streamline global support for the fixedincome e-trading business. Successfully led desk projects in collaboration with North American teams. Initiate extensive revamps of existing Excel-based legacy front More ❯
is permanent, working as part of a global team on a large 2-3 year project within the Markets Technology space , including Equities Tech, FixedIncome Tech, and Markets Ops Tech. Other featured areas will be Finance, Market and Credit Risk Tech. Role: Observability, metrics, release tooling, uDeploy More ❯
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 More ❯
classes. 3-5 years' supervising or managing onshore and offshore team members. Experience and familiarity with a variety of financial instruments and products including fixedincome, equity, derivative and swap asset classes. Strong knowledge and understanding of financial markets data, coupled with analytical and problem-solving skills to More ❯