Archive for November, 2013
VP – Credit Officer
Corporate Credit Risk (CCR) is the credit risk management function that supports Global Banking Markets. Global Banking Markets includes corporate banking, investment banking and sales trading. The group provides services to middle-market and large corporations, government entities and institutional investors. These services include mergers and acquisition advice, equity and debt capital raising, corporate lending, sales and trading in fixed income, commodities, currency and equities, risk management, research, and liquidity and payments management. CCR is responsible for analysing and underwriting Read more […]
C## Quant Developer Hedge Fund London £100K + Bonus
We are a new start-up Hedge Fund backed by legendary financiers and headed up by an experienced and well respected individual with excellent credentials and a track record to match. Our core ethos is to remain a leading technology company applying rigorous statistical and mathematical methods to investment management. We are looking for recent masters or doctorates graduates in computer science or other numerical discipline. Candidates must have worked on multi-thousand line+ coding projects and want to apply their programming skills to quantitative problems. An ability to be practical rather Read more […]
Analyst/AVP – Credit Officer
Financial Institutions Credit Risk (FICR) based in London is responsible for effective management of credit and trading risk exposures within established parameters. In particular it provides risk assessment, transaction structuring, execution, and risk profile monitoring for FI and sovereign counterparties in Europe, Middle East and Africa (EMEA). FICR partners with teams across GCIB including Corporate and Investment Banking, Sales Trading, and Global Treasury Management to build an efficient risk/reward portfolio while maintaining robust risk discipline. Integral to FICR’s mission is its Read more […]
Director, Corporate Treasury Sales
Key Responsibilities: • To team work on over all portfolio with Corporate Treasury Sales China team and be responsible together for team’s revenue target; • To manage a portfolio of clients and be responsible for the profit and loss (PL) of that portfolio by growing the revenue base of the existing clients and look at new client acquisition. • To proactively call on clients and prospects with trade and cash sales and relationship manager’s introduction. • To provide advisory services on foreign exchange (FX), interest and money market products to clients by updating through meetings, Read more […]
Head of Compliance, UK and MLRO
Summary The Head of Compliance, UK for Kepler Capital Markets (KCM) London branch holds the UK Financial Conduct Authority (FCA) controlled function of CF10, Compliance Oversight and CF11, Money Laundering Reporting Officer for Cheuvreux International Ltd (a group company of KCM). They are responsible for the day to day management of all compliance within the London branch, and will have a reporting line to the Head of Compliance in Paris to enable coordination of compliance policies. The role will involve developing compliance activities across all areas of the business, and coordinating these Read more […]
Assistant Corporate Secretary
The National Employment Savings Trust (NEST) is a new workplace pension scheme. It’s been designed around the needs of employers and workers and offers a low cost, easy to use way to save for retirement. We champion: • Easy on-line access • Clear communications • High Quality Governance • Award Winning Investment Scheme The Assistant Corporate Secretary will be Secretary to the NEST Employers’ and Members’ Panels and service fortnightly Corporate Management Group meetings. This involves production and dissemination of agendas, papers and minutes and follow up of action points derived Read more […]
AVP Treasury (FX & Money Market) Front Office
Our client has a broad product offering including; Electronic execution service over their Direct Market Access (DMA) infrastructure; Clearing, matching and settlement of derivatives and securities; Positioning of guarantees to clearing houses and exchanges; Financing of margins, premiums and securities positions; Integrated position administration and risk monitoring and Electronic output delivery over the internet and through file transfer. As the AVP in the Treasury (FX Money Market) Front Office you will monitor and execute treasury activities to support the Asia Pacific Clearing Services Read more […]
Base Metals Sales; Latin America
Standard Bank Group is Africa’s largest bank by assets. The Group delivers banking and related financial services that help strengthen Africa’s connections to key markets, and in turn enhance those markets’ connections to Africa. Standard Bank Group has wide representation that spans 17 African nations and 13 countries outside of Africa. The Group has more than 1 000 branches on the African continent and representation in key global financial centres. The Group’s 53 000 employees around the world deliver a complete range of services across personal and business banking, corporate and investment Read more […]
Equity Derivatives/Fixed Income Rates Quantitative Developer (VP) -Investment Bank
Responsibilities: To comprehend quantitative frameworks and apply the models to their trading activities Contribute actively to the quantitative team in developing trading applications, models, and frameworks Provide on-going support to the Asia Pacific team in identifying creative solutions to quantitative challenges Work within the analytics library to implement necessary modifications and extensions Build and maintain Asian databases for model back-testing Design and backtest forecasting models and trading strategies Develop pricing model using C++ Calibrate and forecast volatility and correlations Read more […]
Associate
Associate – Infrastructure Finance Our clients Infrastructure Finance team is very successful and has closed 8 transactions in 2013 so far and is generating substantial income and cross sell revenues for the bank. It is a structured finance team this is expert in delivering leveraged buy-out, traditional project finance and whole business securitisation structures for the Infrastructure Finance sector across Europe and the Middle East Infrastructure Finance covers transport, social infrastructure and the regulated utility sub sectors The Role New business origination and execution of new infrastructure Read more […]