Alpha Contributors who are strong technically and in quality alpha capture. This is for someone with experience in either Future's, Fixed Income, Credit, Equities, or FX. This position is global (Depending on approval) WE ARE ALSO LOOKING FOR ALPHA GENERATORS WHO WANT TO BE INDEPENDENT AND WANT TO BUILD more »
Portfolio Managers, and the Investment Committee · Assist Risk Managers to identify, evaluate and manage the risks of trading strategies across multiple asset classes including Equities, Fixed Income, Credit and FX · Implement and maintain risk models and perform back-testing and stress testing to ensure the accuracy and effectiveness of risk more »
the department knowledgebase. Knowledge EMS or OMS Essential Knowledge Experience in working within a Trading Floor environment. Client and Broker Connectivity (FIX); Vendor management Equities or FX knowledge Electronic Trading; Python Scripting Unix/Linux proficecy Able to run SQL queries; Excellent communication and people skills with a strong customer more »
office trading desk-aligned role. Familiarity with market data feed handlers and execution gateways. Working within a mature continuous development process. Good knowledge of Equities, Futures or Options asset classes. more »
plans in mind in terms of strategies and headcount for 2024. The fund trades in the major macro asset classes including interest rates, FX, equities, credit, and commodities in developed and emerging markets. As the fund continues to growth its strategy offering, a new team has just been created under more »
or C++ programming; and will gain the opportunity to establish their own team with significant scale and growth potential. Stat Arb Portfolio Manager - London (Equities) The Role Manage a quant/stat arb portfolio in cash equities or equity futures Research and develop new signals/trade ideas Manage portfolio … skills with previous experience in working with large datasets would be beneficial Strong programming skills in Python or C++ Stat Arb Portfolio Manager - London (Equitiesmore »
issues in a professional and timely manner. Qualifications: C#/.NET proficiency Experience with Python nice to have. Understanding of structured derivatives, especially in Equities and commodities markets Strong multi-threading experience Cloud technology experience, ideally with AWS Knowledge of BDD/TDD If you are seeking the next step more »
in Java/C# would be beneficial to show programming aptitude. AWS, Kafka, Redis Experience within a trading technology environment would be beneficial i.e. Equities, Fixed Income, Commodities. This will be a 6 Month initial contract, offering a hybrid working policy of three days on client site. Ready for your more »
Paris, New York and smaller offices in Dubai, Amsterdam and Sydney. Their trading operations are largely focused on running intraday/HFT strategies with Equities, FX and Futures. Currently they have a top hiring need for an experience Quantitative Developer with solid experience in Algorithmic Trading and Algo Execution. The more »
of investment fund accounting and an ability to think through the investment process; Accounting experience with traditional fixed income securities, bank debt/loans, equities, and FX hedging transactions; Candidate must have strong Excel and knowledge of financial formulae more »
mathematics, physics, economics or similar A demonstrable interest in global financial markets, evidence by internships or career choices Ideally exposure to systematic or discretionary equities trading Some fluency in your programming language of choice (they use Python for research) Ability to apply technical skills in order to understand complex market … the entire end-to-end trading system Excellent communication and teamwork skills No finance experience is necessary, although experienced industry candidates, especially those with equities exposure and those mentoring or leading small teams, are encouraged to apply. Benefits Great starting salaries High-potential discretionary annual bonus scheme Private healthcare and more »
access to global markets, and delivering integrated transaction banking solutions. In 2023, we acquired Cowen Inc., offering our clients access to a premier U.S. equities business and highly-diverse equity research franchise, while growing our strong, diversified investment bank. We are growth-oriented, people-focused, and community-minded. As a more »
that the purchase proceeds are tracked into the Bank, and that the purchased equity is cancelled Provide safekeeping and storage for non-UK registered equities in the London vault and under instruction receive, return or destroy these certificates Support the residual processing activity in Crest through delivery and receipt of more »
portfolio management solutions, including the likes of OMS, EMS, Portfolio Construction, etc. Crypto knowledge is NOT required but preferred, if not prior experience with Equities, FX or Rates is needed Minimum 5 years’ experience of Python including the scientific libraries, experience of OO languages such as C#, C++ highly desired more »
and decision-making processes into increasingly competitive markets. Responsibilities: Develop and implement quantitative models and algorithms for trading strategies across various asset classes, including equities, fixed income, derivatives, and foreign exchange. Collaborate with traders, researchers, and software engineers to design, test, and deploy algorithmic trading strategies. Conduct quantitative research to more »
solving some of the world’s most complex financial problems. You will be an enthusiastic, intelligent software engineer who can solve real-world problems. Equities, FX, Futures, Options, Fixed income, C++, ultra-low latency trading. The Role: The Low Latency Platform build-out we are looking for an exceptional developer more »
with RESTful API Tool kits Integration Development of Trading systems – OOP (C#, JAVA, C++) Cloud based technologies. Experience and knowledge of Cross Asset classes – Equities, FICC, Futures & Options. Experience with 3rd Party vendor Apps – Sophis, Bloomberg, Murex Experience of Front Office Risk and Algo Trading methods Experience of Pre and more »
where one can own the whole problem and manage it to completion holistically A fair understanding of some of the products traded; rates, FX, equities, credit and commodities Attention to detail and strong communication skills The ability to work well both in a team and independently A minimum 2i degree more »
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 full more »
London – 3 days on-site Key Skills: C++, Red Hat Linux (ideally V7), Experience with In house built trading systems is a must, FIX, Equities/Options The Role: A global trading organisation is looking for a Senior C++ Developer to join their team to become accountable for designing, developing more »
implement trading strategies into production. Manage risk effectively to optimize trading performance. Investigate and implement new trading products and strategies. Qualifications: Experience in systematic equities trading, preferably statistical arbitrage strategies. Bachelor's or Master's degree in a quantitative field such as Mathematics, Physics, Statistics, Computer Science, or related fields. more »
City Of London, England, United Kingdom Hybrid / WFH Options
Quant Capital
orientated programming Skills and Experience Minimum of 5 years' experience in financial markets focused on trading and risk management within the fixed income or equities MSc or PhD in a STEM subject Good C++ including C++ 11/14 Some Python Version control such as Git/Github Experience in more »
and execute creative ideas as the team builds analytics and tools to support and grow the business. Responsibilities: Improving profitability and scalability of the equities business by working directly with PMs to drive performance and scale; supporting tailored analysis with quantitative research and a deep understanding of the investment process. more »
wealth funds. To meet our clients’ complex and evolving investment needs, our investment strategies cover a broad array of asset classes and styles, including equities, bonds, property and alternatives, as well as multi-asset funds. Job Description Specifically, this role holder will be focused on the analysis and implementation of more »