Systematic Portfolio Manager, Rates RV, Hedge Fund, LDN We are working with a discretionary fixedincome hedge fund in London who are looking to expand their team in complementary areas. The fund has a strong track record of performance since their inception and have, over the last few … years, looked to build out their quantitative capabilities. The ideal candidate would have demonstrable experience within the systematic fixedincome relative value space as a PM. They are looking for a high calibre individual who can take on significant responsibility from the onset. Therefore, we ask candidates to more »
and analytical skills Excellent organisational skills, with a proven ability to multitask and prioritise. Proficient in using Microsoft Excel, Word, and PowerPoint Knowledge of fixedincome securities and derivatives Undergraduate degree in a relevant subject such as Economics, Mathematics or similar Insight is committed to being an inclusive … has delivered both investment performance and growth in assets under management. Insight manages assets across its core liability-driven investment, risk management, full-spectrum fixedincome, currency and absolute return capabilities. Insight has a global network of operations in the UK, Ireland, Germany, US, Japan and Australia. More more »
risk analyses and results to enhance the investment process. Role Details: As a Senior Risk Manager you will (be): Risk Management Program for dedicated fixedincome structured products, specifically for European and U.S. Collateralized Loan Obligations. In details, enhance existing governance with a robust and tailored approach for … risk identification, monitoring and analysis of the asset class Act as global key representative for Risk Management for new product initiatives on FixedIncome structured products and/or instruments in close collaboration with the Investment and Product Divisions Manage and enhance existing risk models to better support more »
We're presently advising a large global asset manager on their 2024 growth within global fixedincome and credit markets. As part of these expansion plans, a key hire will be for a senior credit portfolio manager in London. this role will focus on the ongoing build of … investment grade, crossover and high yield (bonds, CDS, etc.). The ideal candidate will be able to demonstrate significant credit portfolio management within European fixedincome, and must possess appropriate L/S strategy experience, alongside a proven track record of exceptional risk management, portfolio construction and fundamental more »
Our client is a global investment management firm that utilizes long-short equities, long-only, fixedincome and commodities futures strategies across its funds seek to add a experienced Data Engineer Risk Developer. They have deep expertise in trading, technology and operations and attribute their success to rigorous more »
Greater London, England, United Kingdom Hybrid / WFH Options
Augmentti
Wx, MFC, Microsoft Foundation Class Library, Win32, C++, C ++, C++14, C++17, C++20, C++23, Quant Fund, Hedge Fund, Finance, Equities, Futures, FX, Crypto, FICC, FixedIncome, Cross-Asset, Multithreading, Linux, Unix, High Frequency, High-Performance, High Performance, Low-Latency, Low Latency, Real-Time, Real Time, Algorithms, Algorithmic Trading more »
Greater London, England, United Kingdom Hybrid / WFH Options
Black Swan Group
Job Title – Listed Derivatives (F&O) & OTC Derivatives Operations Analyst – Hedge Fund (12 mths Fixed Term Contract) Location - London Working Model – In Office (4:1 Days Model) 4 Days in the Office and 1 Day WFH Compensation - £45,000 to £65,000 (GBP) base salary + benefits RIGHT TO … hire a Hedge Fund Operations Associate to support its Listed Derivatives (F&O) & OTC Derivatives Trading Operations team in London on a 12 mths Fixed Term Contract. This is a unique opportunity for Listed Derivatives (F&O) & OTC Derivatives Trading Operation Analyst to support a fund that is undertaking … a major migration and therefore looking to hire on a 12 mths Fixed Term Contract till April/May 2025. The project is due to last for up to till 2025, and the business is looking to augment support to the front office by hiring an Listed Derivatives/ more »
will have: Bachelor’s/Master’s degree in Computer Science or similar Solid experience in full-stack software development in Java Experience of fixedincome and structured products Excellent communications skills and ability to work in a high-pressure trading environment Top end salary and bonus paid more »
decision-making processes into increasingly competitive markets. Responsibilities: Develop and implement quantitative models and algorithms for trading strategies across various asset classes, including equities, fixedincome, derivatives, and foreign exchange. Collaborate with traders, researchers, and software engineers to design, test, and deploy algorithmic trading strategies. Conduct quantitative research more »
world’s most complex financial problems. You will be an enthusiastic, intelligent software engineer who can solve real-world problems. Equities, FX, Futures, Options, Fixedincome, C++, ultra-low latency trading. The Role: The Low Latency Platform build-out we are looking for an exceptional developer with a more »
Poland, providing support across several time zones and in multiple languages to global organizations. It has deep expertise in the areas of equity and fixedincome research (covering global economies, 150 global sectors and over 3000 global companies), credit analysis, exotic derivatives valuation, structured finance, risk modelling and more »
Greater London, England, United Kingdom Hybrid / WFH Options
Orbis Group
DevX, build and release or business engineering Excellent coding ability in Python, Rust or C++ ideally (open to other languages also) Some FS experience (fixedincome, derivatives) would be ideal but by no means a necessity. Hybrid working model from their office in central London. Paying up to more »
Strong Python coding ability with a polyglot mindset (ability and enthusiasm to pick up/learn new tools and languages) Financial services knowledge i.e. fixedincome, derivatives, front office trading Package The role pays up to £350,000 in total compensation, this varies depending on seniority and experience. more »
Team Player: Exceptional comms skills are necessary, with the ability to collaborate with technical and non-technical teams across the business. Bonus points for fixedincome and/or derivatives knowledge. Minimum of a Bachelor's degree in Computer Science or a related field. If successful, you can more »
concept to underpin that project Experienced interacting with databases, ideally in SQLAlchemy (Python) and SQL (query language), proficient with Redis and Docker Knowledge of fixedincome products including terminology, conventions and general construction Fluently worked with time series of varying frequency and experience of dealing with issues such more »
A degree in quantitative finance, mathematics, computer science or equivalent disciplines . Strong analytical and quantitative skills, ideally with front-office facing FX, Equities, FixedIncome or derivatives experience. An interest for academic research around Options, Volatility and more broadly Derivatives. Between 3 and 5 years of relevant more »
focus in platform, cloud or DevOps engineering Strong exposure to working with any backend language i.e. Python, C++, Rust, C# Financial services knowledge i.e. fixedincome, derivatives, front office trading Package The role pays up to £350,000 in total compensation, this varies depending on seniority and experience. more »
focus in platform, cloud or DevOps engineering Strong exposure to working with any backend language i.e. Python, C++, Rust, C# Financial services knowledge i.e. fixedincome, derivatives, front office trading Package The role pays up to £350,000 in total compensation, this varies depending on seniority and experience. more »
pricing libraries. Strong development skills in C++ skills are essential. Credit Derivatives experience is beneficial, however they will consider candidates from other areas of FixedIncome, especially Interest Rate Derivatives and XVA. A Master's degree or a PhD in a mathematical or STEM discipline. Excellent communication skills. more »
Managers, and the Investment Committee · Assist Risk Managers to identify, evaluate and manage the risks of trading strategies across multiple asset classes including Equities, FixedIncome, Credit and FX · Implement and maintain risk models and perform back-testing and stress testing to ensure the accuracy and effectiveness of more »
and enhancing proprietary trading models. You will collaborate closely with portfolio managers, researchers and software engineers to design, implement, and backtest quantitative strategies across fixedincome, FX and commodities asset classes. Your responsibilities will include: Harnessing Python and other programming languages to analyze large datasets and extract meaningful more »
Job Purpose ICE Risk provides global risk management services to ICE’s Exchange, Clearing, FixedIncome and Data, and Mortgage Technology business lines by assessing, implementing, monitoring, and advising internal and external teams with risk mitigating strategies across the globe and other financial institutions. ICE Clear Europe’s more »
s degree in business or IT related field and relevant work experience. Comprehensive understanding of financial instruments including but not limited to: CDS, IRS, fixedincome, equities, equity derivatives, ETD, Commodity and FX. Ability to write complex SQL. Understand both Oracle and SQL Server. Ability to work with more »
Deep knowledge of Databricks, Snowflake and its application as a semantic layer for data repositories. Practical understanding of core investments data domains across Equity, FixedIncome, and Alternatives. Proven ability to lead and develop high-performing teams. Excellent collaboration and partnership skills, with experience in driving data governance more »
Leucadia Asset Management alternative asset management platform. We offer deep sector expertise across a full range of products and services in investment banking, equities, fixedincome, asset and wealth management in the Americas, Europe and the Middle East and Asia. Department Overview: The Operations Transaction Reporting Team is more »