Archive for July, 2013
Manager, Product Risk
Responsibilities: Oversee due diligence on issuers/fund houses and wealth management products (including both retail and private banking wealth management products), including the preparation of the Issuer/Fund House Approval (IFA), Product Type Approval (PTA) and Product Due Diligence Analysis (DDA) (with the calculation of Product Risk Rating (PRR))Work closely with risk management department, legal and compliance department and support units in the product due diligence processClosely monitor the risk of wealth management products, including the preparation of the annual, bi-monthly and event-driven Read more […]
Geoscientist Role – E&P Investment Boutique
A leading Energy Investments firm with a particular focus on Exploration Production is looking to bring a trained Geoscientist into their firm. The boutique are backed by seed money from High-net worth individuals and currently have 7 dynamic professionals within their research and operational teams. The right candidate will be able to display the current traits – – Seismic data analysis. You will be building geo-cellular earth and reservoir models on a day-to-day basis – Keen interest within the Oil Gas field – Excellent work Read more […]
IT Programme Manager – Reading
IT Programme Manager – Reading – £75K + bonus/benefits Permanent -Global Financial Services organisation driven by technology- Excellent benefits bonus My client are an international market leader within the electronic payments financial services sector who are continuously expanding due to their on going global success use of cutting edge technologies. They are currently seeking an IT Programme Manager to join them on a permanent basis who in return are able to offer stability, fantastic career progression and training. They are an integral component of a global payments network and liaise Read more […]
FI Sales / Trading
My client is the Wealth Management arm of a leading global investment bank. They are looking to hire a senior sales person / trader to their New York team. The identified candidate will have a minimum of 3yrs experience operating as a revenue generator within a Wealth Management depart ment. Daily responsibilities: – Responsibility for the sales and trading of fixed income products – Daily interaction with institutional, family office and HNW / UHNW clients – Provide daily trading market updates to internal Wealth Managers and clients – Read more […]
Manager Of Risk Infrastructure
An Energy Major with strong power and gas portfolios is recruiting for an an opportunity to become a Senior Manager of Internal Risk Control, with a particular focus on market and credit risk. You will be at a level of seniority that commands 3 managers reporting directly into you covering areas including risk modelling, internal control and governance. It is expected that applicants should have experience of these areas, plus strong managerial skills gained directly or in a Programme Manager capacity. Your will be utilising the analytics and reports provided to you by your staff in order to provide Read more […]
Instrument Reference Data Business Analyst
Working as part of a strategic solution, providing analysis, producing documentation and liaising with key stakeholders. The main objective of this role is to provide a single high quality source of Instrument data for use throughout the organisation, to support Front and Back Office Data needs, focussing on the consolidation and integration Read more […]
Senior Financial Writer
SummaryFranklin Square is a leading manager of alternative investment funds designed to enhance investors’ portfolios by providing access to asset classes, strategies and asset managers that typically have been available to only the largest institutional investors. The firm’s funds offer “endowment-style” investment strategies that help construct truly diversified portfolios and manage risk. Franklin Square strives not only to maximize investment returns but also to set the industry standard for best practices by focusing on transparency, investor protection and education for investment Read more […]
Vice President
My client, a highly competitive Investment Bank with a global footprint within equity derivatives, is searching for a trader to join their offices in New York City. The role will involve trading US vanilla single stock options in a flow trading position. Candidates should have an excellent knowledge of equity derivatives along with experience working in a customer-facing trading position within a flow business at another Bank. The ideal candidate will be of around Vice President level experience and will be looking to progress their career at a top employer within capital markets. They Read more […]
General Manager- Portfolio Risk Management AAP
POSITION AVAILABLE : A Leading Financial Institution branch in Singapore are growing their team and currently looking to fill a senior role of “General Manager (E4 level) – Portfolio Risk Management AAP” REPORTING TO : Head of Risk Management AAP (E3 Level) REQUIREMENTS :BA or MA in Computer Science/Statistics/Mathematics/MIS related;At least 5 years of working experience in financial or banking businesses;Strong knowledge and solid experience in portfolio Read more […]
Product Manager, Interest Rate Derivatives
Role OverviewThe role is an Associate Director in the Product Management group and will have responsibility for the maintenance and development of the Interest Rate product suite and many associated technical and business development activities.Key Responsibilities:Day to day product maintenance including: product specifications, market models, trading procedures, matching algorithms, liquidity provision incentives, fee structures and rebates, market making programmes, listing of new contracts, daily settlement pricesAssisting with the research and development of all aspects of new productsDevelopment, Read more […]
