There is a great opportunity at BGC Group for a Junior Broker in our London office. This is an exciting opportunity to work directly on the Futures & Options desk and be part of a small and flexible experienced team. BGC more »
Company Overview: Redimeer are recruiting for a Emerging Market Corporate Debt sales candidate to join a leading private investment firm based in the heart of London, specialising in global markets and alternative investments. Our firm is dedicated to delivering innovative more »
are asking for ever more challenging support. Our expertise includes technical accounting advice on financial instruments, advice on trading, risk management, hedging strategies and derivatives, assessing the impact in deals and helping clients set up and improve their operational and risk management functions. PwC’s Treasury and Commodities team provides more »
best practices in software development, including TDD, Unit, Integration, and regression Testing. Requirements: Excellent core Java experience Extensive expertise in FX Options or other derivatives products such as Swaps, OTC, or Equity Derivatives, demonstrating deep subject matter expertise. Solid understanding of multi-threading, concurrency, and garbage collection. Strong SQL skills more »
field; Analytical, quantitative and problem-solving skills; Excellent communication and presentation skills, in particular to senior stakeholders; Financial knowledge of Delta 1 and Equity Derivatives products; Understanding of statistics and financial mathematics. more »
Knowledge of ION ETRM/CTRM and Valuations Systems, Power BI, Matlab, SQL or other data analytics or quantitative analytics packages may be useful. Derivatives valuation, pricing and quantitative risk modelling experience highly valued. more »
Operations, Client Transitions or Fund Operations experience within asset management. (1-3years’ experience) knowledge of investment processes, custody, fund operations, and securities, including derivatives organizational and project planning skills with the ability to prioritize tasks effectively communication skills to deliver coherent and confident messaging to question existing strategies, policies more »
Python, C++, Rates, Commodities, Quantitative Finance, Derivatives My client are a leading global investment bank, currently hiring an experienced Quant Developer to join their quant analytics team. The role is varied in scope and you will have the opportunity to work on a number of different projects within the team. … The role would entail writing and testing code for derivative models and includes implementing code for pricing and risk in derivatives pricing libraries. This is an inside IR35 contract (Umbrella) offering hybrid working from London. Candidates must be able to work in London without the need for visa sponsorship. Required more »
CMC Markets are hiring a skilled Derivatives specialist with a proven background working in ETD Operations. Covering a both Exchange Traded Options and Global Futures, plus CMC OTC Options product. F&O Operations require a motivated individual to perform key control functions and liaise with our clients regarding all of … dynamic and challenging environment working to give excellent Client Service. Key Individual Responsibilities: Be responsible for the daily BAU End to End Exchange Traded Derivatives business, ensuring all trades, positions and cash are reconciled within a timely manner and ensure all broker and client margin calls are settled and booked. … services the firm provides to our clients. KEY SKILLS AND EXPERIENCE Experience in a broker dealer environment with a deep knowledge of Exchange Traded Derivatives and the trade lifecycle, including delivery and expiry experience. An understanding of the CASS rules and how they are applied to Exchange Traded Derivative. An 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 »
in the financial markets. In order to expand this team, we are looking for an experienced Senior Quantitative Analyst to join our fast-growing Derivatives team. The right candidate will have responsibility for the full cycle of our pricing models including development, improvement, testing, and validation covering an expanding product … range . Those models include valuation models of Derivatives, calibration of volatility and interest rate curves. This role will offer a varied and fast-paced working environment, regularly interacting with the dealing, operations, risk and IT development teams. This is an excellent opportunity to be sitting in the core of … standards guaranteeing that the firm remains at the forefront of innovation and trends. Where new models are required to support the development of the Derivatives offering, conduct research and evaluate most appropriate course of action. Evolve where required to fit the specific needs of the team. Coach and mentor younger more »
accompanied with some Python is also acceptable Advanced SQL. Experience with cloud technologies is a plus (AWS, Snowflake, etc) Familiarity with equities and equity derivatives within a real-time electronic trading environment is required Strong communication skills; ability to liaise with investment professionals, risk research quants, and technologists Team-player more »
RestAPI’s Expert Development using JavaScript and React Experience with Python. Cloud based tech with AWS. Experience and knowledge of Futures & Options Experience with Derivatives knowledge. If you are a Software Engineer and now looking to take the next step to work within the Architecture level while maintaining technically hands more »
expertise in the areas of equity and fixed income research (covering global economies, 150 global sectors and over 3000 global companies), credit analysis, exotic derivatives valuation, structured finance, risk modelling and management, actuarial analysis and business intelligence. Job Duties- We are looking for a talented and experienced Market data Python 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 »
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 »
and other MS Office suite-packages. Strong understanding of MiFID post-trade transaction reporting.FI, Equities, FX, and Total Return Swaps and/or broader derivatives experience.A demonstratable strong control mentality.Fluency in English is essential, knowledge of the Italian language is a plus. The flexibility and open mindset to work within 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 »
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 »
s primary mandate is to manage risk that arises from models used in the firm through its range of businesses– from models used for derivatives valuation to models used for risk management, liquidity and capital computations. In addition to independently reviewing these classes of models for their validity, theoretical consistency 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 »
of Calypso version 13 Java hands-on programming knowledge - Java 8 (or higher versions) Financial Product experience such as Foreign Exchange, Money Markets and Derivatives Experience with Trade Processing, Confirmations, Settlements, Payments and Accounting modules Candidates without hands-on Calypso experience will not be considered. For more information or to more »
Strong experience in React, capable of building intuitive, high-performance web applications. Previous experience in a front-office finance role, ideally within options or derivatives trading or a closely related field. Understanding of financial markets, trading principles, and the quantitative aspects of options trading. Excellent problem-solving abilities, with a more »
our Commodities traders and ensuring smooth execution of physical commodity transactions. This hedge fund invests across various asset classes, including Equity, Fixed Income, FX, Derivatives, Commodities, and Cryptocurrencies. As part of the supportive Operations function, you will bring: Demonstrable knowledge of the full lifecycle, including aligning physical positions with trading more »
include: Assessing the impact of macroeconomic factors on portfolio performance. Evaluating investment opportunities across various asset classes, such as equities, fixed income, alternatives and derivatives to optimise portfolio diversification and returns. Staying up to date on market events and our clients investment strategy. Attend IDBs and external seminars to build more »