such as the TCFD Recommendations (Task Force on Climate-Related Financial Disclosures). Working knowledge of different aspects of finance, including important asset classes ( FixedIncome, Equities, Commodities, including Derivatives), types of stakeholders (Institutional Investors, Exchanges, Asset Managers, Regulators), Risks Assessment, New Regulations (e.g. Basel III/IV … . Working knowledge of important Sustainable Finance standards. This includes financial products such as FixedIncome (ICMA Green Bonds Principles, ISO 14030), Equities (SASB, GRI), EU Taxonomy Working knowledge of Digital Data Technologies (e.g. Internet of Things, Artificial Intelligence, I4.0, Analytics, DLT) within the context of green and 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 »
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 »
Researcher as part of a small, collaborative systematic global macro team with a focus on applying cutting edge techniques to strategies across the commodities, fixedincome, and FX space. Principal Responsibilities Identify and onboard new global markets and datasets Analyze and manipulate large and diverse data sets for … and problem-solving skills Preferred Experience 2-4 years of experience working in a quantitative research capacity with a focus on Ags, Energy, Metals, FixedIncome, FX, or Equity Index strategies Experience working with large and diverse data sets, specifically data sets associated with the commodity markets Commodities more »
Researcher as part of a small, collaborative systematic global macro team with a focus on applying cutting edge techniques to strategies across the commodities, fixedincome, and FX space. Principal Responsibilities Identify and onboard new global markets and datasets Analyze and manipulate large and diverse data sets for … and problem-solving skills Preferred Experience 2-4 years of experience working in a quantitative research capacity with a focus on Ags, Energy, Metals, FixedIncome, FX, or Equity Index strategies Experience working with large and diverse data sets, specifically data sets associated with the commodity markets Commodities more »
London, England, United Kingdom Hybrid / WFH Options
AXA
Euro IG & HY Credit Research, and you will be part of AXA IM Core. DISCOVER your opportunity The Credit Analyst will contribute to the fixedincome investment process supporting European Portfolio Managers by providing (1) fundamental credit analysis, including internal credit ratings, climate colours and analysis of ESG … well in a team environment Well organized able to work with critical deadlines Experience in developing financial models using multi-factor inputs Understanding of FixedIncome Markets We would love to know more about you. Let’s connect! Send us your resume. About AXA The AXA Group is more »
or client-related role within an investment management company •Good level of investment knowledge across a broad range of investment strategies; ideally to include fixedincome and liability-driven investment solutions including descriptions of ESG and DEI practices at the firm level and in the context of these … 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 »
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 »
very high standard as well as helping to continue to grow the business.The team work closely with four LDI Portfolio Managers and increasingly our FixedIncome Portfolio Managers as solutions become more credit focused. Role Responsibilities Client Management •Understand Insight products and strategies and how these can be … 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 »
an understanding of modern Data Architecture Previous Finance experience is NOT essential , you will develop a deep understanding of multiple asset classes including Equities, FixedIncome, Futures and Options, and their respective market microstructures Superb programming skills inc. Python expertise inc. expert understanding of the scientific stack (Pandas 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
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 »
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 »
to Relocate] About Cantor Fitzgerald: Cantor Fitzgerald has offices and trading desks in all major financial centers throughout the world. We specialize in Equities, FixedIncome & Currencies, Investment Banking, Prime Services and Real Estate. Cantor Fitzgerald's affiliate businesses include: BGC Group, Inc. (BGC), Newmark Group, Inc. (Newmark more »
and Python. Key skills: Expert in Java Development Prior experience on low latency Pricing or Execution Trading Systems. Front office experience from either FX, FixedIncome or Equities. Experience in Margin engine/position management Seasoned in performance optimisation – need to have built a performance testing, load testing 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 »
subsidiary of Cantor Fitzgerald & Co., Helix Financial Systems (formerly known as IDT Horizon) has unparalleled access to some of the industry’s most experienced FixedIncome professionals, making our products the best adapted and most flexible tools in the marketplace. Job Description: We are looking for an experienced 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 »
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 »
technical concepts and project progress to stakeholders and non-technical team members. Key Skills: Java RESTful APIs Kotlin Azure Angular Kafka ION trading platform Fixedincome This is a full-time role offering a salary of up to £150k plus a performance-related bonus, and benefits. You will more »
experience in C# development Strong understanding of financial markets, risk management, and treasury operations Proficiency in SQL and database design Experience with financial derivatives, fixedincome, or foreign exchange products is a plus, BUT not essential Excellent communication skills and ability to work in a fast-paced environment more »