CI/CD pipelines Outstanding written & verbal communications skills Highly advantageous but not essential: Understanding of futures (especially LME), options or other exchange traded derivatives Experience of regulatory reporting (eg MIFID, EMIR) Advantageous: REST API experience including deployment, security and orchestration Web frameworks (eg React, Knockout and JQuery) Windows Forms more »
or IT related field and relevant work experience. Comprehensive understanding of financial instruments including but not limited to: CDS, IRS, fixed income, equities, equity derivatives, ETD, Commodity and FX. Ability to write complex SQL. Understand both Oracle and SQL Server. Ability to work with XSLT with respect to configuring XML more »
facilitating real-time and batch calculations of financial risk metrics and simulations (e.g., XVA, PFE, Value at Risk, Expected Shortfall, Bilateral Margining, pre-deal derivatives Pricing) Having domain expertise in Financial Markets, understanding of Financial Instruments. CRISIL Privacy Notice CRISIL respects your privacy. We may use your contact information, such more »
impact in the dynamic world of financial technology, then this opportunity is tailored for you. Key Skills and Requirements: Experience across Equities & FX or derivatives Proficiency in Linux command line operations Solid understanding of FIX protocol Competence in SQL Familiarity with Python Scripting is considered advantageous Compensation Package: Compensation package more »
other teams to ensure seamless operation and efficient delivery. Your responsibilities will encompass all major markets across regions and various asset classes, including equities, derivatives, FX, and options. Providing leadership and guidance, you will cultivate a culture of collaboration and productivity while actively engaging in hands-on development and conducting more »
using: Excel VBA, Detailed knowledge of Fixed Income front to back and/or process mapping skills Experience in financial products, particularly Interest Rate Derivatives Investment Banking is a must Please click here to find out more about our Key Information Documents. Please note that the documents provided contain generic more »
not required. Key Responsibilities: Work with trading team to design, enhance, and support mid and high frequency trading strategies, across Equities, FX, Commodities and Derivatives markets. Assist in monitoring and troubleshooting existing strategies Own the design and production implementation of new strategies Add capabilities to expand the platform to new more »
of someone, ideally from an Institutional Asset Management, or Hedge Fund Trade Support background who has a sound knowledge of Fixed Income and Credit Derivatives related Buyside Trade Support covering Middle Office (i.e. Trade Capture and Trade Confirmation, Settlements), as well as Fund Administration (i.e. NAV’s/Valuations) across more »
all trade management functions e.g.: trade events; settlement; corporate actions; compression; collateral; and treasury). The products traded include the following: bonds; CFDs; credit derivatives; equities; equity swaps; futures; FX forwards/options; and interest rate swaps. Principal Responsibilities include, but are not limited to: Supporting execution traders across the more »
Corporate Actions, working closely with the Equity Trading desk. This rapidly expanding hedge fund invests across all asset classes, including Equity, Fixed Income, FX, Derivatives, Commodities, and Cryptocurrencies. As part of the supportive Operations function, you will be responsible for various operational tasks within the Equities space. The Middle Office more »
experience within investment risk management within the asset management or financial services industry with a focus on equities Extensive knowledge of capital markets and derivatives instruments Extensive knowledge of risk models, analytics and stress testing Strong quantitative skills Strong analytical and problem solving skills with good attention to detail Excellent more »
Greater London, England, United Kingdom Hybrid / WFH Options
Harrington Starr
in Finance. If you are interested in working on desk alongside Traders/Quants and have strong domain knowledge in Pricing, Risk or Structures Derivatives this could be for you. The Details: · Hybrid working central London office. · Market leading bonus structures. · Up to £150,000 basic depending on experience. · Need more »
following experience: Deep Market Risk knowledge, preferably from a Tier One Bank or Hedge Fund. Strong Python and or Java coding experience. Cross Asset Derivatives experience, with a deep understanding of working with Front Office Stakeholders. A Degree from a Top Tier University in a Quantitative/STEM Field. This more »
refined products (blending, storage, biofuels etc.) and shipping markets Good understanding of pricing and hedging of the physical activities with the use of various derivatives instruments (futures, swaps, options etc.) Strong and solid knowledge of MS Office suite including excellent Excel and VBA skills, Python, Matlab & SQL knowledge a plus more »
week in the office, where the successful candidate will be paid £650-850Per Day subject to experience ????????? Role Description role within the FX Derivatives and Risk team to build and extend FX Options and Risk frontend application suite. Responsibilities Design and develop user interfaces for React applications using HTML more »
of UK financial services laws and regulations and their application in funds management businesses; Strong knowledge of financial instruments e.g. equities, fixed income and derivatives; Proactive, entrepreneurial and think outside of the box attitude; Exemplary integrity, ethics, professionalism and resilience; Effective and persuasive oral and written communication skills; Aptitude to more »
Experience 5+ years proven Front Office Investment Management Fixed Income business analyst experience, successfully delivering projects. Detailed working knowledge of fixed income instruments and derivatives, including pricing, analytics, trading and uses in portfolio management. Proven experience of working directly with investors in the asset management industry. Excellent problem-solving skills more »
About The Role: The role will be implementing a state of the art web application that simplifies the complexity of the life of a derivatives deal to the click of a button. This replaces the manually intensive sending of orders and entering of thousands of deals across recorded messenger services more »
in trade processing and position-keeping within the Capital Markets domain (Including all Fixed Income: bonds, Repos, Treasury, IRS, IRD, CDS, FX, and Equity Derivatives). knowledge of Unix/Linux a plus Networking Background a plus knowledge of Python and scripting languages a plus Other Competencies Required: The candidate more »
London, England, United Kingdom Hybrid / WFH Options
BlackRock
preferred Understanding of quantitative investment research and optimization techniques preferred Knowledge or experience across markets and instruments such as ETFs and other fund vehicles, derivatives, FX, rates, equities or credit markets (options, IRS, CDS, etc. a plus) Meticulous attention to detail with an ability to remain focused across a wide more »
of ION MMI knowledge to an SME Level solid understanding of bond pricing using PXE and solid understanding of Rates and Credit Bonds and derivatives products detailed understanding of the nuances of trading venues such as Bloomberg, TradeWeb ideally 2 years' experience of integration of ION with Kafka solid Unix more »
Wall Street Systems Object oriented programming experience (preferably Python) Good Excel and VBA skills Experience of Interest Rate and Foreign Exchange Products including their derivatives: mechanics, models, pricing, P&L Supporting Traders and Sales, your responsibilities will be to provide P&L analysis, create and maintain spreadsheets and the set more »
algorithms) Experience with system performance tuning and low-latency Java programming Proficient with Java, Spring, TDD, DBs, and UNIX/LINUX Understanding of financial derivatives (rates or other) is a plus For more details please apply. Java Developer; eTrading, Fixed income, Low latency, comp sci, Mathematics McGregor Boyall is an more »
am looking for: At least 3 years’ experience in algo/quant development Demonstrated commercial experience in a financial institution - knowledge of pricing models, derivatives, experience of interest rate curves, vol surfaces etc Excellent C# .NET programming skills Regrettably these roles are only open to British citizens, EU Citizens with more »
code in a high level programming language such as Java Desire to work with new and emerging technologies Experience with Trading/Low-latency (Derivatives, FX, etc) Familiarity with Matching Engine components Build automated tests Collaborative nature, keen to deliver solutions in conjunction with Business Analysts and Senior Developers Up more »