Archive for October, 2013
Vice President-Operational Risk Manager
Company overview Nomura is a leading financial services group and the preeminent Asian-based investment bank with worldwide reach. Nomura provides a broad range of innovative solutions tailored to the specific requirements of individual, institutional, corporate and government clients through an international network in over 30 countries. Based in Tokyo and with regional headquarters in Hong Kong, London, and New York, Nomura employs over 27,000 staff worldwide. Nomura’s unique understanding of Asia enables the company to make a difference for clients through three business divisions: retail, Read more […]
Senior .NET Technical Lead / Web Developer (100% Telecommute) at Aydus Consulting (Los Angeles, CA) (allows remote)
Job Description We are looking for a ..NET Technical Lead / Web Developer with 10+ years experience, strong end-to-end Web Development and Technical Leadership skills to join our distributed team. You will work 100% remotely from home. As part of a team, you will be responsible for end-to-end solutions in all tiers of web application development – building, maintaining, enhancing, and optimizing database driven eCommerce and CMS websites. As the Technical Lead, you will work directly Read more […]
Credit Risk AVP, Healthcare
A leading corporate bank with a prime position in the market is looking for a credit analyst to prepare credit applications to relevant sanctioning levels in the Public Healthcare sector. In this role, you will liaise with various business units to independently assess credit risk and oversee the entire process from origination and structuring to credit approval. The role will give you exposure to the both mid market corporate and investment banking clients. This is an exciting opportunity to really build your profile in a dynamic corporate environment, offering great progression opportunities.Hays Read more […]
Head of Corporate Communications
My client is offering a fantastic opportunity within their Corporate Communications space.The successful candidate will need to be a proven head of corporate communications/media relations professional who has worked within a marketing function.My client is one of the most well respected and largest financial institutions, based in the city.The successful candidate will have one key objective, raising the profile of the financial institutions international business. With the key areas of focus being Its clients, its employees, the media and other key stakeholders. The role holder will be responsible Read more […]
Derivatives Lawyer for Investment Bank, 6-12 month contract
The role is centred around ensuring compliance with EMIR regulations by amending and putting in place derivatives and collateral documentation with existing and new counterparties. Liaising with both internal and external stakeholders, assisting the legal team with any additional document amendments to be negotiated for EMIR. Train and mentor the business, support staff and legal team on EMIR document update requirements. Other ad hoc legal duties as required. The successful candidate will have in excess of 3 years PQE within Derivatives, have extensive experience reviewing and advising on ISDA Read more […]
VP / Associate – Emerging Markets FX Strategy
The team is top ranked within Emerging Markets FX Strategy therefore this position will offer you an excellent opportunity to develop your career within this space. The key focus of the role will be to provide Macro/FX strategy for the capital markets division therefore previous sell side experience is desired. The role will cover Global emerging Markets therefore you will be responsible for a large amount of currencies. You should therefore have worked within an emerging market FX strategy role previously and have an underlying emphasis on analysis of economic and fiscal fundamentals Read more […]
UK Funds Administration Ops specialist
The main task is to work with this team to identify and document all operational procedures and processes required to support UK OEICS and Unit Trusts. A similar task may be required on the Transfer Agency side however our need in this area is still being examined. In support of the above FA tasks, it will be necessary to conduct the following: *Review of proposed operating model and support fine tuning of the model *Review of proposed system changes from a functional perspective *Workshop facilitation and engagement with SGSS centres of excellence (Dublin, Luxembourg) *Preparation of reports and Read more […]
IT Project Manager
This role is part of a very large multi-year programme delivering to key Regulatory Change mandates driven by Basel 3, DoddFrank and EMIR, in particular to the Liquidity Coverage Ratio and the Net Stable Funding Ratio. This is very much a Technology PM role and so candidates with a development background will be preferenced over functional BA type career paths. The key challenge in the role is the Global nature of the roll-out and the complexity of the programme and the various dependencies – so strong cross functional stakeholder management experience is key as is a structured approach to project Read more […]
Rates E-Trading Quant Researcher
This is a senior position within the team and your responsibilities encompasses all research, modeling and forecasting of financial data in order to build high frequency Equitied/Fixed Income trading models. The individual in this role will contribute extensively towards developing new Alpha trading strategies. Fixed Income / Equities Experience Experience/background in HFT and Market Making. Working knowledge of forecasting and data mining techniques, such as linear and non-linear regression analysis, neural networks or support vector machines Strong experience developing statistical models in Read more […]
FX Market Risk Manager
As this privately owned Commodities Trading house has developed a significant global commodities trading platform, FX Trading has become a key and essential function for the firm. To ensure that the FX exposures are effectively Risk Managed, there is now a requirement for an experienced FX Market Risk Manager to join the firm. The role will include: – Limit management, risk system enhancements, monitoring and reporting trading risks, develop, produce and report VaR, EaR and CFaR of portfolios, calculate and monitor Greeks, back-testing, stress-testing, assess the risks of new business ventures Read more […]