understanding of Linux tools, frameworks, and libraries Understanding of API design, considerations and trade-offs Experience with script languages like Lua, Python, JavaScript and derivatives Bachelors or Masters in Computer Science or related Strong verbal and written communication skills - this role involves frequent communications with teams throughout Roku, and outside more »
Python Dremio Apache Iceburg Iceberg Arrow DBT Tableau PowerBI Finance Trading Front Office Investment Banking Asset Manager Financial Services FX Fixed Income Equities Commodities Derivatives Hedge Fund Buy Side) required by my asset management client in London. You MUST have the following: Advanced ability as a Product Owner/Product … Python Dremio Apache Iceburg Iceberg Arrow DBT Tableau PowerBI Finance Trading Front Office Investment Banking Asset Manager Financial Services FX Fixed Income Equities Commodities Derivatives Hedge Fund Buy Side) required by my asset management client in London. You will join a relatively new department that is responsible for the ingestion more »
There is a place for you at T. Rowe Price to grow, contribute, learn, and make a difference.?? We are a premier?asset?manager?focused on delivering global investment management excellence and retirement services that investors can rely on today 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 »
managing both structured and unstructured data. - Understanding of testing methodologies within continuous delivery and integration pipelines. - Knowledge of financial data related to equity and derivatives markets is advantageous. If you're a proactive and skilled software/data engineer with a passion for leveraging technology in the financial sector, we more »
platform. Integration of Calypso with external tools and applications. Incident management, analysis, and resolution. Desirable knowledge in treasury functions, including RF, MM, FX, OTC Derivatives, Collateral Products, and the operations life cycle (contracting, confirmation, settlement, accounting, etc.). Additionally, candidates should demonstrate proven experience in: Developing Java architectures. Working 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 »
/experience: Experience of the Front Arena 4 track. Experience of custom model integration. Experience of other Trading Systems. MS SQL Knowledge of Financial Derivatives This is a 6 month contract based in London. Do send your CV to us in Word format along with your daily rate and availability. more »
/experience: Experience of the Front Arena 4 track. Experience of custom model integration. Experience of other Trading Systems. MS SQL Knowledge of Financial Derivatives This is a 6 month contract based in Warsaw Poland. Do send your CV to us in Word format along with your daily rate and more »
IPV etc Excellent experience building Cloud Native platforms and hands-on background in Python , SQL/NoSQL databases, and AWS technologies. Expert knowledge of derivatives pricing and risk and the application of complex mathematical concepts related to options pricing, Monte Carlo simulations, and the Greeks. 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 »
regular liquidity scenario analysis, monitoring liquid asset buffers, analysis and oversight to liquidity usage, seeking cost saving opportunities. Manage securities, FX and/or derivatives positions for client driven transactions or for internal asset liability management purposes. Perform market analysis and research, provide internal training if required. Assist to implement 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 »
experience in XVA or Rates or FX gained in FO, Model Val or Risk IT • Advanced programming skills in C# (preferred) or C++ • Excellent derivatives understanding, particularly in Rates, or FX models, & hedging • Familiar with Capital Regulations • Stochastic calculus, e.g. brownian motion; algorithm complexity; CVA estimates • PhD or MSc in more »
regulatory requirements and being able to identify risks in relation to potential Market Abuse is essential. Good working knowledge of various products - equities, equity derivatives, FX, ETFs. Strong IT skills familiar with using automated monitoring solutions/tools and Microsoft Word and Excel. Knowledge of TZ surveillance system is a more »
in Physics, Mathematics, Quantitative Finance or Financial Engineering Strong mathematical knowledge 5 years experience in a Fund or Investment Bank Strong knowledge in financial derivatives products in multiple asset classes Proven ability to apply risk management models and techniques such as Value at Risk models, Liquidity Risk models, backtesting and 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 »
startup environment, guided by a team of experts with decades of experience in large investment banks and funds. Be at the forefront of crypto derivatives innovation and enjoy significant upside along with the growth of this space more »
and methodologies pertaining to, and the calculation of, investment performance and attribution across a range of asset classes, including equities, fixed income, FX and derivatives It is hopeful that you will also have a working knowledge of basic risk principles, and certainly a desire to learn them Possess an extremely more »
with a primary focus on the Aviva Investors Multi-Strategy (AIMS) Target Return Fund. The fund invests across all major asset classes and utilises derivatives extensively. The role will also involve working within the quantitative research agenda; finding opportunities to create alpha using an analytical framework that draws on both more »
for policy development in relation to market, trading credit and/or liquidity risk as it relates to (but not limited to) trading/derivative products. Review the ILAAP as the 2LoD and perform deep dive controls reviews of the regulatory returns for liquidity. Perform 2LoD support on liquidity stress 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 »
for procedures and support month-end close/accounting processes. Effective accounting entry creation and review YOUR RECIPE FOR SUCCESS Knowledge of treasury, accounting, derivatives and hedging on FX Accounting experience including creating entries. Project management - ability to communicate well with internal and external partners, to effectively manage projects, and more »
financial commodity transactions of a complex and non-standard nature (Renewable Power Purchase Agreements, flexibility products, gas storages and other transaction structures with embedded derivatives) Identify, structure and capture commercial opportunities in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities more »
financial commodity transactions of a complex and non-standard nature (Renewable Power Purchase Agreements, flexibility products, gas storages and other transaction structures with embedded derivatives) Identify, structure and capture commercial opportunities in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities more »