Archive for August, 2013
Pricing Research and Contracts Contributions Account Management
The RoleThe Global Data Pricing Contributions department is looking for a motivated and detail-oriented individual to join its implementation team in Shanghai. This team works directly with market data or IT department in various financial institutions to obtain OTC pricing data to Bloomberg. Individual will need to manage project to transform conceptual version of the product to live, fully-integrated data on the Bloomberg platform. Discussion with the data contributors include framework for the project, design of data display, method of data delivery, and branding of the firm’s content. In addition Read more […]
Head of Flow/Options Interest Rates Quant – Front Office – Experienced Hire
JOB DESCRIPTION A U.S. Investment Bank is proactively seeking a Director-MD candidate to lead there Interest Rates Derivatives team. As a leadership hire, where the ideal candidate will provide hands on front office support to traders/quant researchers and successfully manage a team. The candidate should demonstrate strong quantitative methods, problem solving abilities, excellent communication skills and significant leadership experience. Those that will be successful in this position will be able to lead/manage a team, work with derivatives pricing models, create prototypes and enhance current Read more […]
Fixed Income Sales Executive / Broker (native Italian, fluent English and French)
Wallich Matthes is a leading independent brokerage firm in the global money and capital markets with a worldwide network and offices in Amsterdam and Dubai. Our teams are active on a variety of financial products like bonds, private placements, deposits, ABS, CLO, CP’s, CD’s and derivatives. For our office in Amsterdam we are looking for a Fixed Income Sales Executive / Broker. In this position you get the opportunity to build a varied client base. WHAT DO WE OFFER? International working environment Independent position within a young and dynamic team Direct contact with clients Internal and Read more […]
Corporate Finance Sales
Wallich Matthes is een toonaangevend onafhankelijk intermediair op de geld- en kapitaalmarkt met een wereldwijd netwerk en vestigingen in Amsterdam en Dubai. De teams van Wallich Matthes zijn actief in diverse financiële producten zoals obligaties, onderhandse leningen, deposito`s, ABS, CLO, CP`s, CD`s en derivaten. Verantwoordelijkheden: In deze functie zul je corporates die behoefte hebben aan langlopende leningen introduceren bij diverse institutionele investeerders. De vraag naar deze vorm van leningen zal de komende jaren fors toenemen, omdat corporate finance activiteiten bij banken steeds Read more […]
Assistant Director Debt Product Management
This is a unique opportunity to take on a strategic role with exposure to every facet of the CIB business. As the Assistant Director within the Debt Product Management (DPM) team you’ll play a pivotal role in developing and driving implementation of the debt strategy for CIB in partnership with the Origination and Coverage teams. This, along with other ad hoc and varied work streams, makes for a fast paced and high profile role for an ambitious and driven individual. You’ll have a solid track record working in a variety of different frontline facing roles, and you’ll have good analytical, Read more […]
Operational Risk Manager, San Francisco, California
JOB DESCRIPTION: Top US Banking organisation is looking to build out their Operational Risk team in San Francisco. This hire is in response to growth of the business rather than regulatory pressure. The firm are looking for top talent who can work with and influence senior stakeholders to improve the operational efficiency and risk control of the business. This role assists with the implementation of the risk control strategy – ensuring the consistent and effective implementation and performance of operational risk and control assurance. The Op Risk Manager will be tasked with control assurance, Read more […]
Senior Risk Management – US Rates Market Risk
JOB DESCRIPTION Our client is looking to fill a Sr Risk Manager to join the US Rates desk. The Interest Rates team within Market Risk Management is responsible for all rates products, covering US interest rates and derivatives. Responsibilities: Sit at the trading desk to monitor and oversee risk exposure measurements and limits Develop and maintain market risk limit frameworks Review and monitor new trades and transactions Develop stress testing for risk concentrations by various dimensions (single issuer, risk ratings, geography, sector, etc) Contribute to the development of better Read more […]
Assistant Corporate Tax Manager
This Corporate Tax Assistant Manager job in Edinburgh, is a challenging role for a hard working high-potential individual to join the Tax Compliance team within the Group Tax function of this large corporate.Group Tax is a key function within the Finance Community of the business, having responsibility for managing the Group’s tax affairs. The group has a wide range of tax payment, deduction and reporting obligations both for its own account but also for its customers and colleagues. Group Tax manages these obligations on behalf of the group, ensuring the tax consequences of all transactions Read more […]
Traded Market Risk Manager
JOB DESCRIPTION With a drive for growth in their capital markets division, our client is looking to hire an experienced self-sufficient self-starter to join the Traded Credit. We are looking for a credit products specialist who understands the underlying conceptual values and theories in a risk management context. You will be working with each trading desk to identify market risk factors and provide risk oversight to the LATAM business. Responsibilities: Sit on the floor at the trading desk to monitor and oversee risk exposure measurements and limits Develop and maintain market risk limit Read more […]
Director UK Institutional Distribution
MG Investments is Prudential plc’s UK based fund management business and is one of Europe’s leading active asset managers with more than £238.4 billion* of funds under management across fixed income, equity, property and multi-asset strategies. -*as at 31 March 2013The fixed income institutional business focuses on alpha generation incorporating the niche assets mentioned above. This gives us a well-differentiated offering, consistent with the market’s move towards best-of-breed, specialist management. Currently institutional assets are in both actively managed public bonds and private debt strategies Read more […]