Credible business advisor that is able to build consensus Education & Preferred Qualifications 10+ years experience in financial services, preferably: capital markets and foreign exchange, derivatives, and/or equities 8+ years practical FX Industry and trading experience, strong understanding for global FX products and processes across the transaction lifecycle inclusive more »
the following experience: Deep Market Risk knowledge, preferably from a Tier One Bank or Hedge Fund. Strong Python or Java coding experience. Cross Asset Derivatives experience, with a deep understanding of working with Front Office Stakeholders. A Degree from a Top Tier University in a Quantitative/STEM Field. This more »
applications and initiatives. Desirable Candidates: 4+ years of relevant experience ensuring data quality Bachelor’s degree in a STEM field Experience with Equities, OTC Derivatives (options, swaps, futures), fixed income, and money markets Familiarity with Bloomberg, LSEG, ICE, etc.; IVP familiarity is a plus Experience with Excel and basic SQL more »
Experience with TDD/BDD frameworks like xUnit and SpecFlow Desirable Experience: Familiarity with Domain-Driven Design (DDD) Previous exposure to financial products and derivatives, particularly commodities Experience in front-office or electronic trading systems more »
working in a DevOps environment. Bachelor’s degree in Computer Science or related field. Financial services experience, especially in e-Trading/HFT/Derivatives Trading support. Excellent English communication skills. If you're interested in this role please apply below with your CV attached. Kind regards, Muireann more »
Ability to conceptualize and perform calculations related to a portfolio of investments and derivatives. Working knowledge of investment strategies used in portfolio management, including derivatives and short positions. Experience reviewing investment guidelines, Offering Memorandums, and Investment Management Agreements. Experience monitoring portfolio investment requirements associated with UCITS, 3(c)(7) funds more »
all 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 more »
authoring and maintaining CI/CD pipelines Outstanding written & verbal communications skills Highly advantageous: Understanding of futures (especially LME), options or other exchange traded derivatives Experience of regulatory reporting (eg MIFID, EMIR) Advantageous: REST API experience including deployment, security and orchestration Web frameworks (eg React, Knockout and JQuery) Windows Forms more »
Employment Type: Permanent
Salary: £100000 - £111000/annum good bonus, pension, health, gym e
Greater London, England, United Kingdom Hybrid / WFH Options
Harrington Starr
in Finance. If you are interested in working on desk alongside Traders/Quants and have strong domain knowledge in Pricing, Risk or Structures Derivatives this could be for you. The Details: · Hybrid working central London office. · Market leading bonus structures. · Up to £150,000 basic depending on experience. · Need more »
outstanding candidates from investment banks are also encouraged to apply. In-depth expertise of global financial markets and products, experience with equity products (including derivatives) is highly desirable. A high degree of technical aptitude with advanced programming skills in Python being essential. Outstanding written and verbal presentation skills, with the 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 »
advanced financial modeling and quantitative analysis to design and evaluate structured products. Leverage in-depth knowledge of various asset classes, including equities, fixed income, derivatives, and alternative investments. more »
Demonstrable experience of dealing with the regulatory change agenda in the asset management sector. Understanding of different asset classes, including equity, credit, fixed income, derivatives and alternative investments. Excellent working knowledge of FCA rules and industry best practice. For further information please contact Spencer Evans more »
educated (or possess professional qualifications such as CFA, CAIA, or FRM) and will bring 5+ years fixed income operations experience focused on credit instruments, derivatives, and financial markets, preferably gained in a hedge fund or asset management firm. Experience of working with Prime Brokers and a strong knowledge of Cayman more »
THE COMPANY Britannia Global Markets is a dynamic, fast-growing organisation that operates a full-service execution and clearing brokerage business covering Exchange Traded Derivatives, Cash Equities and Fixed Income, CFD’s, Foreign Exchange, Repos and Structured Finance. Britannia Global Markets is part of the Britannia Financial Group https:/ more »
of UK financial services laws and regulations and their application in funds management businesses; Strong knowledge of financial instruments e.g. equities, fixed income and derivatives; Proactive, entrepreneurial and think outside of the box attitude; Exemplary integrity, ethics, professionalism and resilience; Effective and persuasive oral and written communication skills; Aptitude to more »
close processes as required for designated business area. Responsible for setup and maintenance of controls and reporting prior to commencement of LNG, Gas & Power, Derivatives and FX operations, and ongoing development thereafter. Regular and active contributor to the wider Risk Team weekly and ongoing Risk meetings and discussions. EDUCATION, SKILLS more »
funds, ideally gained within an asset manager however we will also consider individuals from sell side Proficient in the use of FX and financial derivatives (e.g. futures, forwards) Skilled or capable of reading and interpreting index methodologies to inform portfolio management decisions Strong understanding of financial markets and corporate events more »
We are AMS. We are a global total workforce solutions firm; we enable organisations to thrive in an age of constant change by building, re-shaping, and optimising workforces. Our Contingent Workforce Solutions (CWS) is one of our service offerings more »
to research, communicate effectively Develop QIS tools Strong python – starting to work more on their centralised systems. Fixed Income knowledge, Strong understanding of Swaps, Derivatives, Volatility, and FX Researching, designing fixed income quantitative investment strategies Running or able to run their your own franchise – develop, publish and be client facing more »
practice or the banking industry. Proven experience within a technical role, advising on transactions, ideally with a focus on banking and financial services. Strong derivatives accounting knowledge (ideally within Commodities) Expert knowledge and experience of IFRS9 accounting standards. Demonstrate a commercial mindset, with prior experience in translating technical theory into more »
early-stage UK based B2B Fintech start-up that are revolutionising cash flow management for small businesses using AI. Founded by a Deutsche Bank derivatives trader this opportunity is an exciting one that will offer a great amount of career progression. About the Role: They are seeking a skilled Full more »
rigorous scientific research. Comprises a combination of systematic and fundamental businesses, naturally designating high commercial impact. Trading in a range of areas, spanning weather derivatives to natural gas & power. Driven by some of the most sophisticated alternative data sets the domain has seen. The Role Sat directly with salespeople and more »
years of industry experience, with at least 2+ years on the buy side or with a Tier 1 administrator Strong product knowledge across equity, derivatives, futures, options, and FX Experience with fund structures and valuation Proficiency in systems such as Enfusion, AlphaDesk, Watson Wheatley iRecs, etc. Excellent Excel and IT 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 »