Equity Derivatives Quant Developer - C++, Python, CI/CD, Equities, Equity Derivatives, Pricing, Sensitivity Calculations, Algorithms, Quant Finance, Risk Management. I am seeking an experienced C Python Quant Developer to join my client who is a leading investment bank based in London. In this role, you will focus on building and optimizing infrastructure for pricing, risk management, and P&L … Build and maintain data pipelines for market data and pricing support. Work across teams to ensure alignment and deliver on business objectives. Key Skills: C Python Equities/Equity Derivatives Options, Options Pricing, Managing Pricing Solid understanding of pricing models and stochastic processes. Familiarity with risk measures such as VaR, P&L forecasting, and sensitivities. Desirable: Experience working with large … data sets and distributed systems. Knowledge of Equity Derivatives and their pricing mechanisms. Advanced Excel skills and familiarity with CI/CD workflows. Degree in Mathematics, Finance, or a related field. This is a contract role paying up to £1050 per day inside IR35 via an umbrella. You will be required to attend the office in London up to More ❯
Equity Derivatives Quant Developer - C++, Python, CI/CD, Equities, Equity Derivatives, Pricing, Sensitivity Calculations, Algorithms, Quant Finance, Risk Management. I am seeking an experienced C Python Quant Developer to join my client who is a leading investment bank based in London. In this role, you will focus on building and optimizing infrastructure for pricing, risk management, and P&L … Build and maintain data pipelines for market data and pricing support. Work across teams to ensure alignment and deliver on business objectives. Key Skills: C Python Equities/Equity Derivatives Options, Options Pricing, Managing Pricing Solid understanding of pricing models and stochastic processes. Familiarity with risk measures such as VaR, P&L forecasting, and sensitivities. Desirable: Experience working with large … data sets and distributed systems. Knowledge of Equity Derivatives and their pricing mechanisms. Advanced Excel skills and familiarity with CI/CD workflows. Degree in Mathematics, Finance, or a related field. This is a contract role paying up to £1050 per day inside IR35 via an umbrella. You will be required to attend the office in London up to More ❯
Job Title: Calypso Business Analyst Location: London (3–4 days per week on-site) Duration: Permanent First Derivative is driven by people, data, and technology, unlocking the value of insight, hindsight, and foresight to drive organizations forward. Counting many of the world's leading investment banks as clients, we help our clients navigate the data-driven, digital revolution that is … to help clients stay ahead in a rapidly evolving financial landscape, offering comprehensive solutions that drive business transformation and sustainable growth. To meet the growing demand for our First Derivative services, we are looking to add to our Global Calypso Teams. Overview: We’re seeking mid-level Calypso Business Analyst. The roles requiring strong hands-on experience with the Calypso … platform. The ideal candidates will be proactive, delivery focused analysts with strong front-to-back knowledge of financial derivatives (FD) and an understanding of the trade lifecycle. Key Responsibilities: Act as a liaison between business users and IT to gather, analyze, and document business requirements related to Calypso. Work closely with development and QA teams to ensure requirements are understood More ❯
Job Title: Calypso Business Analyst Location: London (3–4 days per week on-site) Duration: Permanent First Derivative is driven by people, data, and technology, unlocking the value of insight, hindsight, and foresight to drive organizations forward. Counting many of the world's leading investment banks as clients, we help our clients navigate the data-driven, digital revolution that is … to help clients stay ahead in a rapidly evolving financial landscape, offering comprehensive solutions that drive business transformation and sustainable growth. To meet the growing demand for our First Derivative services, we are looking to add to our Global Calypso Teams. Overview: We’re seeking mid-level Calypso Business Analyst. The roles requiring strong hands-on experience with the Calypso … platform. The ideal candidates will be proactive, delivery focused analysts with strong front-to-back knowledge of financial derivatives (FD) and an understanding of the trade lifecycle. Key Responsibilities: Act as a liaison between business users and IT to gather, analyze, and document business requirements related to Calypso. Work closely with development and QA teams to ensure requirements are understood More ❯
is a global financial services platform Job Description This role requires an individual to have in depth understanding of sophis - portfolio management and risk management for equity and equity derivatives trading. The team is responsible for providing technical support for a range of front office and post-trade applications. This includes: Overall Responsibilities Provide support for all trading and back … office platforms offered by the organisation to both internal and external client base. Strong understanding of Sophis - portfolio management and risk management for equity and equity derivatives trading. Support business users offering second- and third-line support. Knowledge of scripting language (PowerShell, Python ). Manage new system analysis and implementation. Provide incident management per ITIL standards. Liaison between technology department … PostgreSQL, MongoDB, Oracle Must be able to work under demanding conditions with a calm demeanour In depth understanding of sophis - portfolio management and risk management for equity and equity derivatives trading. Experience gained in a financial services background, ideally finance Ability to work as part of a team in an environment with changing expectations Experience with ITIL and change management More ❯
team's mission is to develop and maintain sophisticated mathematical models, cutting-edge methodologies and infrastructure to value and hedge financial transactions ranging from vanilla flow products to complex derivative deals, as well as improve the performance of algorithmic trading strategies and promote advanced electronic solutions to our clients worldwide. If you are passionate, curious and ready to make an … models to production Work closely with traders and wider quant team to solve problems and identify opportunities Required qualifications, capabilities, and skills: You have experience in a front-office derivatives trading environment; You have outstanding analytical and problem-solving abilities You demonstrate good written and oral communication; You demonstrate strong coding and software engineering skills with a passion for technical … excellence You have professional Python/C++ development experience You demonstrate exposure toderivatives pricing theory and standard model Preferred qualifications, capabilities, and skills: Deep understanding of derivatives pricing theory and standard model; Experience with SecDB/Beacon (or similar More ❯
internal business units, including operations, investment solutions, and reporting functions. The successful candidate will have 2–5 years of experience , with strong proficiency in Python , a sound understanding of derivatives, and a demonstrated ability to work with business users to deliver practical, data-driven solutions. This is not a modeling or pricing-focused role and is better suited for individuals … workflows. Work on forward-looking cashflow projection systems that help investment professionals assess anticipated fund flows and make strategic decisions. Implement logic and tooling related to fixed income and derivative instruments, ensuring accurate integration of financial characteristics into investment platforms. Build and manage production-ready Python applications, incorporating development best practices including code versioning, testing, and automated deployment workflows. Facilitate … on experience as a quant developer or analyst within a financial institution. Demonstrable Python experience in a collaborative, version-controlled production environment. Familiarity with financial markets and instruments, especially derivatives and fixed income products. Exposure to systems involving data movement or transformation (ETL processes) is beneficial though not central to the role. Strong verbal and written communication skills, with a More ❯
internal business units, including operations, investment solutions, and reporting functions. The successful candidate will have 2–5 years of experience , with strong proficiency in Python , a sound understanding of derivatives, and a demonstrated ability to work with business users to deliver practical, data-driven solutions. This is not a modeling or pricing-focused role and is better suited for individuals … workflows. Work on forward-looking cashflow projection systems that help investment professionals assess anticipated fund flows and make strategic decisions. Implement logic and tooling related to fixed income and derivative instruments, ensuring accurate integration of financial characteristics into investment platforms. Build and manage production-ready Python applications, incorporating development best practices including code versioning, testing, and automated deployment workflows. Facilitate … on experience as a quant developer or analyst within a financial institution. Demonstrable Python experience in a collaborative, version-controlled production environment. Familiarity with financial markets and instruments, especially derivatives and fixed income products. Exposure to systems involving data movement or transformation (ETL processes) is beneficial though not central to the role. Strong verbal and written communication skills, with a More ❯
Onyx Capital Group was founded, by traders, on the principles of expertise, vision and excellence. The company has rapidly grown to command across the entire spectrum of oil derivative products. Our aim is not just to be market leaders but to build a unique franchise that continuously pushes boundaries. We know that our success is derived from a total commitment … reconciliation of Mark-to-Market and P&L P&L reporting to trading desks, Finance department and Management Onboarding of traders and set up of risk limits on multiple derivatives exchanges Automatisation of operational processes Maintenance and development of PowerBI dashboards Monitoring of risk management tools and alerts Requirements Working knowledge of Python, SQL and Excel VBA Macros. Minimum able More ❯
Onyx Capital Group was founded, by traders, on the principles of expertise, vision and excellence. The company has rapidly grown to command across the entire spectrum of oil derivative products. Our aim is not just to be market leaders but to build a unique franchise that continuously pushes boundaries. We know that our success is derived from a total commitment … reconciliation of Mark-to-Market and P&L P&L reporting to trading desks, Finance department and Management Onboarding of traders and set up of risk limits on multiple derivatives exchanges Automatisation of operational processes Maintenance and development of PowerBI dashboards Monitoring of risk management tools and alerts Working knowledge of Python, SQL and Excel VBA Macros. Minimum able to More ❯
exclusive opportunity for a strong Java Software Developer to join our banking client in building their front office software development team, specializing in front office strategic Sales and Trading Derivatives platforms. Role Details Title: Head of Derivatives IT Development Technical Stack: Focus on Java Salary: £85,000 - £110,000 base, plus bonus and pension Location: London City, with hybrid working … options Role Focus: Front office strategic Sales and Trading Derivatives platforms As the Head of Derivatives IT Development, you will manage a team of 6-8 Front Office developers, ensuring the delivery of global system architecture to support Front Office desks. Candidate Profile Advanced core Java development skills Experience in managing development teams successfully Experience working with front office stakeholders … and trading systems Knowledge of Derivatives Banking structures This role offers ownership of the software delivery lifecycle for the complete Front Office Derivatives Technology Stack. Additional Information Shortlisting begins next week. To be considered, please send your CV for review. For more information about Huxley, visit our website. Huxley, part of SThree Partnership LLP, is acting as an Employment Business. More ❯
City Of London, England, United Kingdom Hybrid / WFH Options
Harrington Starr
Head of IT Development Java, Front Office Trading, Derivatives London, Perm Role £130,000 - £145,0000 Hybrid (3 days onsite) Harrington Starr has partnered with an Investment Bank in the City of London who are seeking to hire a Head of IT Derivatives Development to join their Front Office Trading Development and Technology team. Successful candidates will have extensive development … with Front Office Trading systems - specifically Derivatives, and a deep and broad understanding of various technologies. Key Responsibilities: Responsible for successfully deploying and delivering Front Office Technology, applications and systems - Derivatives. Essential, interaction with key stakeholders both internal and external. Responsible for road mapping and building future Front Office technology. People management of a Front office development team, consisting of … experience across a range of technologies: Java, Python ,C++ Bachelors degree in Computer Science or related field of study Strong commercial experience developing in a Front Office Trading environment (Derivatives) Leadership, both people and technically focused Excellent communication across all levels of an organisation Benefits: Basic salary up to £145,000 Strong discretionary bonus Exceptional benefits Hybrid working structure Opportunity More ❯
interact with various teams of different backgrounds and expertise, so the ability to communicate clearly and concisely is a must. This role will have direct exposure to interest rate derivatives, equity derivatives, credit derivatives and commodity derivatives. A strong background in programming, stochastic calculus and probability theory is preferred . Responsibilities Drive clearing house margin, stress and collateral management models … R&D. Define business requirements and specifications for model upgrades and enhancements. Build models to price ETD derivatives across all asset classes. Model volatility surface dynamics for liquid and illiquid assets Model specific risks such as concentration charges and wrong way risk. Contribute strongly to "hands-on" and ad-hoc requests for development and solutions in time-critical situations. Interact … core quantitative library used by the organization. Knowledge and Experience PhD or MSc in Physics, Mathematics, Quantitative Finance, Statistics, or a relevant scientific field. Strong mathematical knowledge of financial derivatives pricing and risk management models. Excellent quantitative, analytical and problem-solving skills with solid knowledge of statistics, particularly time series analysis. Strong C++ and Python required. Capable of working under More ❯
Product Manager with product management responsibilities for the Clarus Data product globally. Key Responsibilities: Clarus has collected OTC derivatives data that has been generated because of regulatory reform of derivatives markets. We normalize, filter and enhance this data and make it widely available for the market to use. The data is delivered via a GUI, an API or via SFTP. … for: Planning, documenting executing on the strategic roadmap for the product and the integration of the product into the wider ION solutions Identifying new revenue streams and possible new derivatives data related products Customer relationship Management Support new account sales with demonstrations of Clarus Data products Project management and delivery of new enhancements Interface with Dev team for documenting and … bug fixes Required Skills, Experience and Qualifications: 5-10 years of experience of OTC Capital Markets experience as a participant or a regulator with a keen interest in OTC Derivatives Data Extensive knowledge of Cleared and Bilateral OTC Derivatives markets, both in terms of regulation, market infrastructure and vendors with ability to establish credible senior relationships with prospective customers Strong More ❯
specialist will play a critical role in developing, optimizing, and scaling pricing models, execution algorithms, and API-based financial integrations across an extensive range of instruments, including Spot FX, Derivatives, Structured Products, and Futures. Key Responsibilities Spearhead the development and implementation of financial instruments, including CFDs, futures, structured products, and derivatives. Design sophisticated pricing models and execution strategies to ensure … trading systems. Develop quantitative tools for monitoring market microstructure, trading performance, and overall liquidity dynamics. Required Qualifications A minimum of 5 years' experience in roles specializing in Spot FX, Derivatives (Futures, Options, Swaps), Structured Products, and CFDs. Profound expertise in derivatives pricing techniques, quantitative risk models, and algorithmic execution strategies. Fluency in yield curve modeling, stochastic pricing mechanisms, and volatility More ❯
local risk framework, liaising with all the stakeholders particularly Global Market, Risk Departments, Legal, BO and IT, locally but also worldwide Main Responsibilities: Perform counterparty risk analysis on the derivatives portfolio cross assets (Fx, Interest rates, equities, commodities and credit), on all counterparties sectors (banks, corporates, funds ), identify any concentration Assist the FO by explaining variation and breach limits, perform … for regulators and audit Required Skills/Qualifications/Experience Required Skills: At least 2 years of experience related to risk monitoring/management Good knowledge on financial instruments derivatives and repo, and on market and/or counterparty risk Familiar with sensitivities, VaR, stress tests, PFE, EAD, EEPE, RWA, xVA Understanding of legal documents (ISDA, CSA, GMRA, GMSLA ) Strong More ❯
City of London, London, United Kingdom Hybrid / WFH Options
X4 Technology
global energy trading offering a contract Business Analyst (Exchange Trading) role on a high-profile, multi-year Exchange Trading Transformation Programme. The initiative aims to streamline the lifecycle of derivatives trading by automating execution, enhancing price transparency and improving customer experience. This specific project focuses on exchange connectivity, OEMS integration (Trading Technologies), FIX protocol implementation and market data integration to … operations issues Assist in implementing scalable, compliance algorithmic trading technology Requirements of the Business Analyst (Exchange Trading) Deep understanding of major global futures exchanges and the full exchange-traded derivatives lifecycle Knowledge of market data providers (Bloomberg, Refinitiv, etc.) and liquidity aggregation platforms Experience with third party networks and EMS/OMS vendors (TT, NYFIX, Bloomberg, TradingScreen) Familiarity with messaging More ❯
global energy trading offering a contract Business Analyst (Exchange Trading) role on a high-profile, multi-year Exchange Trading Transformation Programme. The initiative aims to streamline the lifecycle of derivatives trading by automating execution, enhancing price transparency and improving customer experience. This specific project focuses on exchange connectivity, OEMS integration (Trading Technologies), FIX protocol implementation and market data integration to … operations issues Assist in implementing scalable, compliance algorithmic trading technology Requirements of the Business Analyst (Exchange Trading) Deep understanding of major global futures exchanges and the full exchange-traded derivatives lifecycle Knowledge of market data providers (Bloomberg, Refinitiv, etc.) and liquidity aggregation platforms Experience with third party networks and EMS/OMS vendors (TT, NYFIX, Bloomberg, TradingScreen) Familiarity with messaging More ❯
reporting directly to the Head of Sales. You will be responsible for deepening B2C2's institutional client relationships across the globe, with a focus on growing our OTC spot, derivatives and funding franchise across a broad range of client segments. This is a unique opportunity for a sales professional, especially one with an existing book of business, who thrives in … Duties and Responsibilities: Originate, grow and manage institutional client relationships across your region Drive revenue growth across B2C2's OTC products. We will require you to focus on our derivatives (vanilla and exotic options), structured products. Identify and convert new business opportunities across client segments such as: Hedge funds, asset managers, private wealth, proprietary trading firms Crypto exchanges, payment providers … Required Skills and experience: 5-15 years of institutional sales/business development experience in financial markets, with a strong preference for a direct digital assets background Coverage of derivatives, structured products, options, or exotics is essential Strong track record of originating and managing institutional relationships with demonstrable revenue impact, borne through an existing rolodex of clients Knowledge and interest More ❯
We are looking for a Java Technical Lead with proven experience of building robust, high-performance, large scale Capital Markets applications. Team Background The Derivatives Credit Risk Technology Team is responsible for delivering Counterparty Credit Risk Management software solutions to Citi's Risk organization which manages Citi's exposure to financial institutions, governments and corporates that trade with Citi. The … debugging and productionization. Collaborate effectively with a large global team of software engineers, business analysts, dev-ops and support staff to deliver software solutions for the business. Advance the derivatives exposure processing software infrastructure by continuously adopting new technologies where appropriate to solve business problems while adhering to Citi's architectural guidelines. Build bespoke solutions where necessary to perform risk … issues with transparency. Ideal background Core Java experience developing robust, scalable, and maintainable applications applying Object Oriented Design principles. Experience working in the Capital Markets domain. Good understanding of Derivatives and Risk management is as significant advantage. Experience with Agile software development processes with a strong emphasis on test driven development. Understanding of Java internals such as class loading and More ❯
QA Equity & Hybrid Products team, which is part of the Global Quantitative Analytics group (QA) and is responsible for research, development and implementation of quantitative models for the equity derivatives business. It covers equity flow products, equity structured & hybrid products, quantitative index and strategies business. Key Responsibilities: * Documentation, Testing and improvements of an internal risk model, which is owned by … a Masters or PhD in Mathematics/Computer Science or related field * Mathematically minded (knowledge of financial mathematic, ability to program numerical algorithms in C++): * Experience in Front Office & Derivatives modelling * Theoretical knowledge of financial engineering/structuring and financial product development * Strong analytical and numerical skills * Good Python programming skills * Strong C++ programming skills (ideally worked in a C++ More ❯
cover new business cases and traded products & instruments in energy trading across the oil, gas, power, certificates, and metals markets. The team leverages its expertise on commodity and energy derivatives products across the full front-to-back chain: support, maintenance, evolution, and implementation of the commodity and energy framework for our clients. The role involves participating in business case studies … in the energy space (on software vendor or client side) is a must-have Proven expertise in one of the following areas is a must-have: simple or complex derivatives (exchange-traded or OTC), market data management, pricing and risk methodologies, middle and back-office processes, electronic trading interfaces More ❯
cover new business cases and traded products & instruments in energy trading across the oil, gas, power, certificates, and metals markets. The team leverages its expertise on commodity and energy derivatives products across the full front-to-back chain: support, maintenance, evolution, and implementation of the commodity and energy framework for our clients. The role involves participating in business case studies … in the energy space (on software vendor or client side) is a must-have Proven expertise in one of the following areas is a must-have: simple or complex derivatives (exchange-traded or OTC), market data management, pricing and risk methodologies, middle and back-office processes, electronic trading interfaces More ❯
Charm (Charm) product globally. Key Responsibilities: Charm is IONS real-time high-performance risk and margin platform designed to solve the challenges of the new cleared and bilateral OTC derivatives market structure, in the context of regulatory reform since the Great Financial Crisis. As Product manager for Charm product, you will be responsible for: Planning, documenting executing on the strategic … years of experience of OTC Product Management within Capital Markets with ability to established credible senior relationships at prospective customers Extensive domain knowledge of Cleared and Bilateral OTC Derivatives markets, both in terms of regulation, market infrastructure and vendors Strong communication, inter-personal and presentation skills to conduct meetings with senior management at prospective customers and extensive track record of More ❯
in quantitative disciplines, with hands-on experience in distributed computing, performance optimisation, and cloud-native deployment (Docker/Kubernetes). Leadership & domain knowledge: Proven team leadership, strong grasp of derivatives and macro products (e.g., Rates, FX), and a collaborative, problem-solving mindset. Apply now to learn more. More ❯