preserving long term objectives and regular schedule review. Preferred Qualifications and Experience Strong experience with validating pricing models. Advanced modelling experience with either XVA, FX, rates, credit or commodities and a good highl evel cross asset class product knowledge are required. In depth knowledge of pricing models, stochastic calculus, stochastic more »
BCM, automated payment runs, In-house cash, instruments like Bonds, Commercial papers, Credit line facilities Experience in implementing other treasury technology solutions (e.g. Netting, FX rate upload, other Banking Hub technology, SharePoint, RPA) is a plus SAP Finance and integration with PTP Experience in FIS TRAX and Quantum is preferred more »
low latency FIX APIs Handling distribution of real-time market data to customers Handling order instructions across a variety of asset classes including CFD, FX, cash equity, and a wide variety of order types including algorithmic and advanced order strategies Utilising Java with specialised low latency programming and optimisation techniques more »
London, England, United Kingdom Hybrid / WFH Options
Client Server
Architecture within an Azure environment? You could be progressing your career in a senior, hands-on role at a hugely successful, global FinTech/FX brokerage as they scale, whilst enjoying a range of perks and benefits including 30 days a year work from anywhere. As a Data Architect and more »
different levels (up to C-level) Experience in working with cross functional teams in multiple time zones Experience in regulatory engagement, submission, and examinations FX trading, settlement, or processes experience is a plus Knowledge of SDLC process and documentation across different SDLC phases Risk management knowledge is a plus Excellent more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
using cutting-edge tools. Calculate Net Asset Value (NAV) on a daily, weekly, and monthly basis. Reconcile final fund NAVs with fund administrators. Monitor foreignexchange exposures and advise on currency hedging. Review and reconcile records with custodians and prime brokers. Provide ad-hoc reports and analysis to more »
orderly and efficient running of the Bank • To be a member of the Management Committee which monitors all activities and liquidity interest rates and foreignexchange business and ensure FCA, Bank of England and Head Office requirements are respected. • To ensure Operations – Banking Business Compliance and Accountancy is more »
Bristol, England, United Kingdom Hybrid / WFH Options
Jefferson Wells
Monte-Carlo simulation techniques and application of appropriate software tools (TacSys use Vose ModelRiskTM) Where to find and how to apply indices such as ForeignExchange (FOREX), VAT and Inflation. Appropriate and proportionate use of correlation in a cost model Three-Point Estimating (3PE) techniques Correct handling and more »
Bristol, Avon, South West, United Kingdom Hybrid / WFH Options
Jefferson Wells
Monte-Carlo simulation techniques and application of appropriate software tools (TacSys use Vose ModelRiskTM) Where to find and how to apply indices such as ForeignExchange (FOREX), VAT and Inflation. Appropriate and proportionate use of correlation in a cost model Three-Point Estimating (3PE) techniques Correct handling and more »
Bristol, Avon, South West, United Kingdom Hybrid / WFH Options
Conventus Recruitment
Understanding Monte-Carlo simulation techniques and application of appropriate software tools (Vose ModelRiskTM). Where to find and how to apply indices such as ForeignExchange (FOREX), VAT and Inflation. Appropriate and proportionate use of correlation in a cost model Three-Point Estimating (3PE) techniques. Correct handling and more »
knowledge of transaction banking products and related services (cash management products e.g. digital channels/payments/collections/liquidity management/deposits/FX related business) Excellent communication skills both written and oral Good Excel & PowerPoint skills Fluency in Mandarin is ESSENTIAL more »
business Assist the wider business where required Maintain a professional and dedicated ethic Essential Skills Proven Sales and Revenue track record Strong understanding of FX & CFD’s MetaTrader, CRM, BI, Excel Understanding of the Financial Markets Working knowledge of the Regulatory Environment Organised and Efficient Benefits Uncapped commission structure Vitality more »
Responsibilities: Update the Treasury Balances and Daily positions report. Monitor the Treasury Limits utilisation and make applications for limit renewal and increases. Execution of FX, MM, Bond and IRS/CCS deals via dealing platforms, with subsequent MiFiD II reporting where appropriate. Assist in managing the Bond Investment portfolio; sourcing more »
by providing day-to-day Compliance support, guidance and advice, while performing key Compliance projects, monitoring and assessment responsibilities. ETD core business activities include FX, Loans and Derivatives sales and trading, and asset/liability management for the Bank London Branch. In performing this role: You will identify, understand and more »
Responsibilities Update the Treasury Balances and Daily positions report. Monitor the Treasury Limits utilization and make applications for limit renewal and increases. Execution of FX, MM, Bond and IRS/CCS deals via dealing platforms, with subsequent MiFiD II reporting where appropriate. Assist in managing the Bond Investment portfolio; sourcing more »
Linton, England, United Kingdom Hybrid / WFH Options
Marshall
Report and Accounts and provide accounting advice to the Group Treasury and cash management -Managing the Group's Treasury activities, including cash management and FX Pension schemes - Managing the required financial input to the Pension Trust (DB and DC elements), including payments, valuation, audit and the Groups accounting entries DGM more »
and analysing the fund performance metricsContributing to the valuation processEffective liquidity management to support operational needs and investment activitiesExposure to various fund structures and FX strategiesExcellent communication skillsSelection CriteriaYou must be a qualified accountant (ACA, ACCA, ACMA, CPA)Proven experience with preparing the financials or controlling closed-ended, Lux domiciled more »
reconciliation. Assist with P & L, Balance sheet for Management Accounts pack. Ad hoc Projects Assist with Stock Take, Audit, Process Checks, HMRC P11D, Costings, FX update. Team Work Carry out shared duties such as filing, post etc Support your colleagues by proactively sharing workload during busy times. Contribute ideas and more »
with ideas, challenge current process and recommend solutions to deliver best practice. You will have experience in cross boarder markets, multi-currency environment driving FX strategy, used to maximising output from ERP’s such as Quickbooks, Sage or Xero. Salary up to £70k + Benefits (Hybrid) If you are a more »
and modern leader to join our team, to lead our rapidly growing sales team (currently 4 people). Ideal candidates will not be traditional FX salespeople but rather come from a modern SaaS or Fintech environment where they have demonstrated exceptional growth and leadership capabilities We need someone who exemplifies more »
/clients about current and future APIs and TransferMate’s evolving product rangeRequirementsMinimum 12 years’ experience in the payment/Fintech/treasury/FX/Tier 1 Enterprise environmentRelevant experience building and leading high performing sales teams in multiple geographies and markets.Knowledge/experience in the payroll segment is more »
leaders around the globe, including major feature film studios and post-production houses such as ILM, DNEG, Pitch Black, Walt Disney Animation Studios, Wētā FX, Pixar, Marvel, Netflix, Framestore and Technicolor Creative Studios.In partnership with these companies, Foundry solves complex visualization challenges to turn incredible ideas into reality. Its products more »