refined products (blending, storage, biofuels etc.) and shipping markets Good understanding of pricing and hedging of the physical activities with the use of various derivatives instruments (futures, swaps, options etc.) Strong and solid knowledge of MS Office suite including excellent Excel and VBA skills, Python, Matlab & SQL knowledge a plus more »
week in the office, where the successful candidate will be paid £650-850Per Day subject to experience ????????? Role Description role within the FX Derivatives and Risk team to build and extend FX Options and Risk frontend application suite. Responsibilities Design and develop user interfaces for React applications using HTML more »
Bromley, England, United Kingdom Hybrid / WFH Options
Pontoon Solutions
or London) Rate: A highly competitive Umbrella day rate is available for suitable candidates Role Profile UI/UX designer role within the FX Derivatives and Risk team to build and extend FX Options and Risk frontend application suite. Key Accountabilities: Design and develop user interfaces for React applications using 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 »
Experience 5+ years proven Front Office Investment Management Fixed Income business analyst experience, successfully delivering projects. Detailed working knowledge of fixed income instruments and derivatives, including pricing, analytics, trading and uses in portfolio management. Proven experience of working directly with investors in the asset management industry. Excellent problem-solving skills more »
About The Role: The role will be implementing a state of the art web application that simplifies the complexity of the life of a derivatives deal to the click of a button. This replaces the manually intensive sending of orders and entering of thousands of deals across recorded messenger services more »
s primary mandate is to manage risk that arises from models used in the firm through its range of businesses– from models used for derivatives valuation to models used for risk management, liquidity and capital computations. In addition to independently reviewing these classes of models for their validity, theoretical consistency more »
in trade processing and position-keeping within the Capital Markets domain (Including all Fixed Income: bonds, Repos, Treasury, IRS, IRD, CDS, FX, and Equity Derivatives). knowledge of Unix/Linux a plus Networking Background a plus knowledge of Python and scripting languages a plus Other Competencies Required: The candidate more »
in trade processing and position-keeping within the Capital Markets domain (Including all Fixed Income: bonds, Repos, Treasury, IRS, IRD, CDS, FX, and Equity Derivatives). · knowledge of Unix/Linux a plus · Networking Background a plus · knowledge of Python and scripting languages a plus Other Competencies Required: · The candidate more »
Edinburgh, Scotland, United Kingdom Hybrid / WFH Options
BlackRock
user experience You have: o A broad technical knowledge of either Investment Operations or Trading. Several of the following areas are desirable: Transaction Management, Derivatives & Collateral Management, Corporate Actions, Reconciliations, Trading and FIX protocol o Aladdin knowledge preferred but not essential o Familiarity with buy-side investment management workflows, proficient more »
have Relevant software development experience with a proven track record, programming with C, C++ Hands on experience with scripting languages like Python, JavaScript, and derivatives BrightScript and Roku app development experience is a distinct advantage. Game development experience (professional or hobby) An understanding of media/video concepts like codecs more »
of ION MMI knowledge to an SME Level • solid understanding of bond pricing using PXE and solid understanding of Rates and Credit Bonds and derivatives products • detailed understanding of the nuances of trading venues such as Bloomberg, TradeWeb • ideally 2 years’ experience of integration of ION with Kafka • solid Unix more »
A fintech firm that focuses on delivering cutting-edge post-trade risk reduction products to the derivatives market is looking to hire a programming-minded quant developer for their head office in London. The company is rare in that they provide a service blended with sophisticated technology, business, and quantitative more »
Physics/Informatics Object oriented programming experience (preferably Python) Good Excel and VBA skills Experience of Interest Rate and Foreign Exchange Products including their derivatives: mechanics, models, pricing, P&L Supporting Traders and Sales, your responsibilities will be to provide P&L analysis, create and maintain spreadsheets and the set more »
algorithms) Experience with system performance tuning and low-latency Java programming Proficient with Java, Spring, TDD, DBs, and UNIX/LINUX Understanding of financial derivatives (rates or other) is a plus For more details please apply. Java Developer; eTrading, Fixed income, Low latency, comp sci, Mathematics McGregor Boyall is an more »
am looking for: At least 3 years’ experience in algo/quant development Demonstrated commercial experience in a financial institution - knowledge of pricing models, derivatives, experience of interest rate curves, vol surfaces etc Excellent C# .NET programming skills Regrettably these roles are only open to British citizens, EU Citizens with 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 »
/experience: Experience of the Front Arena 4 track. Experience of custom model integration. Experience of other Trading Systems. MS SQL Knowledge of Financial Derivatives This is a 6 month contract based in London. Do send your CV to us in Word format along with your daily rate and availability. 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 »
regular liquidity scenario analysis, monitoring liquid asset buffers, analysis and oversight to liquidity usage, seeking cost saving opportunities. Manage securities, FX and/or derivatives positions for client driven transactions or for internal asset liability management purposes. Perform market analysis and research, provide internal training if required. Assist to implement more »
our Commodities traders and ensuring smooth execution of physical commodity transactions. This hedge fund invests across various asset classes, including Equity, Fixed Income, FX, Derivatives, Commodities, and Cryptocurrencies. As part of the supportive Operations function, you will bring: Demonstrable knowledge of the full lifecycle, including aligning physical positions with trading 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 »
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 »
and methodologies pertaining to, and the calculation of, investment performance and attribution across a range of asset classes, including equities, fixed income, FX and derivatives It is hopeful that you will also have a working knowledge of basic risk principles, and certainly a desire to learn them Possess an extremely more »
for policy development in relation to market, trading credit and/or liquidity risk as it relates to (but not limited to) trading/derivative products. Review the ILAAP as the 2LoD and perform deep dive controls reviews of the regulatory returns for liquidity. Perform 2LoD support on liquidity stress more »