NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund) required by my asset management client in London. You MUST have the following: Advanced ability as a … NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund) required by my asset management client in London. You will join a relatively new department that is more »
NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund) required by my asset management client in London. You MUST have the following: Advanced ability as a … NumPy SciPy Spark Dremio Snowflake Apache Iceburg Iceberg Arrow DBT gRPC protobuf TypeScript Finance Trading Front Office Investment Banking Asset Manager Financial Services FX FixedIncome Equities Commodities Derivatives Hedge Fund) required by my asset management client in London. You will join a relatively new department that is more »
them build and maintain a research environment that facilitates diversified systematic strategies in the commodities space. You will take on development projects for the fixedincome side of the business, improving existing systems and developing greenfield ones, having a lot of direct impact and watching your projects go … into production from inception. With the title of Quant Developer, some responsibilities include: Data acquisition and cleaning Pricing of fixedincome financial instruments Building and maintaining a research environment Order execution and interaction with the firm's order management system Consolidation with back office systems and risk systems more »
My client, a reputable name in the Investment Banking sector, is looking to hire a Business Analyst to play a key role in their FixedIncome division. You will join a large, global team that are at the heart of the trading risk and PnL pipeline. You will more »
review and validate the monthly NAVs. Design & monitor key risk controls. Reconcile positions and trades for various asset classes including equities, futures, FX, and fixedincome products to brokers and the fund administrator. Book corporate actions and work with traders to manage risk. Proactively identify processes which can … paced finance operations environment. Advanced understanding of fund accounting and the hedge fund operational structure. Familiarity with equities, listed and OTC derivatives, FX, and fixedincome products. Strong Excel skills (vlookup, pivot tables, array functions, etc). Basic Python or SQL coding ability. more »
TDD, RAD, W & V-model, RUP, DSDM, Feature Driven Development. Sample Charles River Experience of interest Entered test trades such as SPOTS, FX, SWAPS, FIXEDINCOME, EQUITY in the Charles River Trading blotter to ensure the daily JHI end to end accounting data flows were tested. Tested trade … Eagle Pace database to ensure the SimCorp Dimension and HiPort trade/security master data was correctly transformed for Charles River. Tested FX, SWAPS, FIXEDINCOME, EQUITY, CASH and CORPORATE ACTION trade/transaction data ensuring the Inbound SimCorp Dimension/HiPORT data was correctly populated in the more »
LDAP, Windows Mobile Android, iOS & Android app testing, REST API. Sample Charles River Experience of interest Entered test trades such as SPOTS, FX, SWAPS, FIXEDINCOME, EQUITY in the Charles River Trading blotter to ensure the daily JHI end to end accounting data flows were tested. Tested trade … Eagle Pace database to ensure the SimCorp Dimension and HiPort trade/security master data was correctly transformed for Charles River. Tested FX, SWAPS, FIXEDINCOME, EQUITY, CASH and CORPORATE ACTION trade/transaction data ensuring the Inbound SimCorp Dimension/HiPORT data was correctly populated in the more »
business and with stakeholders at all levels globally. Equity-linked models are now fairly mature, and the group is looking for additive experience in FixedIncome, so this hire would become an anchor within the team for non-equity trading groups across the fund. For more information on more »
adjust portfolios to optimise returns. Examples include: Constructing portfolios for US/UK clients , with various currency/tax constrains, allocating assets across equities, fixedincome and alternative investments in a tax efficient manner to achieve long-term growth while managing risk. Produce holding reports to analyse where … and raising cash. Utilising performance analysis tools to ensure that client portfolios are meeting target returns within agreed parameters and/or generating agreed income levels, implementing necessary adjustments. Client Relationship Management: Cultivate and maintain strong relationships with Advisers and clients in order to understand their investment goals, risk … Advisers and clients. Examples include: Assessing the impact of macroeconomic factors on portfolio performance. Evaluating investment opportunities across various asset classes, such as equities, fixedincome, alternatives and derivatives to optimise portfolio diversification and returns. Staying up to date on market events and our clients investment strategy. Attend more »
Greater London, England, United Kingdom Hybrid / WFH Options
MSCI Inc
engagements and pre-sales activities. Successful candidates will have a thorough knowledge of market risk measurement and management, pricing of asset types (including equity, fixedincome, commodities, and derivatives), highly quantitative skills and an ability to guide institutional clients to better use our products for assessing risks and … Barra or RiskMetrics models and software a plus. Deep understanding of global financial markets, including modeling and pricing of different asset types in the fixedincome, equities, commodities, and credit markets and their derivatives Knowledge of the main European regulatory frameworks for asset managers and banks Superior communication … ideally from finance/engineering/mathematical background. What we will offer you: Depending on your location of your role, you can expect … Competitive fixed and variable compensation, holiday/vacation allowance & retirement savings plans/pensions Employee Resource Groups to support you in and out of the office more »
Hounslow, England, United Kingdom Hybrid / WFH Options
MSCI Inc
engagements and pre-sales activities. Successful candidates will have a thorough knowledge of market risk measurement and management, pricing of asset types (including equity, fixedincome, commodities, and derivatives), highly quantitative skills and an ability to guide institutional clients to better use our products for assessing risks and … Barra or RiskMetrics models and software a plus. Deep understanding of global financial markets, including modeling and pricing of different asset types in the fixedincome, equities, commodities, and credit markets and their derivatives Knowledge of the main European regulatory frameworks for asset managers and banks Superior communication … ideally from finance/engineering/mathematical background. What we will offer you: Depending on your location of your role, you can expect … Competitive fixed and variable compensation, holiday/vacation allowance & retirement savings plans/pensions Employee Resource Groups to support you in and out of the office more »
motivated and team-oriented individual who thrives on challenges in a fast-paced, entrepreneurial environment. At least 3 years of debt capital markets/fixedincome sales/syndication experience within the industry. Strong relationships in European primary bond markets with FixedIncome buy-side, DCM more »
London, England, United Kingdom Hybrid / WFH Options
Mondrian Alpha
Job Description A major, high performing, multi-strategy hedge fund are looking for make a newly created operations analyst hire specific to its flagship fixedincome business. The role is split 50/50 between both line and project management responsibilities. Line work focuses on everything post-execution … business management roles most likely. Candidates should have 2-5yrs operations/middle office experience from an IB or a Hedge Fund. A fixedincome bias is a necessity. Good tech, project management and communication skills are required, as is a solid academic record. The role will more »
the Head of MiFID and will work closely with other staff and members across a wide range of product and policy committees, including equities, fixedincome, investor protection, compliance and advocacy. You will support the Head of MiFID, the MiFID Steering Committee and other MiFID team leaders with … staff in the preparation and execution of meetings/calls and follow-up actions of their groups, including the MiFID groups of the Equity, FixedIncome, Investor Protection, Compliance and Public Policy divisions. Lead and coordinate the execution of actions agreed by the Steering Committee and other MiFID more »
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 »
London-based Multi Strat Fund is looking to expand its Engineering team with an additional Quant Developer hire that will work directly in the FixedIncome side of the business. The firm is a highly collaborative group of impressive professionals with a range of levels and experience across … up with Monday-Wednesday in the office and Thursday-Friday at home. Role: Architecting and building a Quantitative Research and simulation environment Pricing of FixedIncome instruments Build order execution and order management improvements Improve and refine back office systems Requirements: Strong Python coding skills with experience in 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 »
widely under wraps to the wider market), building out a next-generation, end-to-end distributed trading system from the ground up covering the fixed-income and equities remit, which is one of the firm's highest revenue-generating sectors, equating to just over $5 billion of asset 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 »
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 »