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Quant Researcher
Our client is a New York-based quantitative finance research firm, specializing in developing computer based statistical trading strategies. Their selective hiring process considers only highly talented individuals with a history of exceptional achievement. Responsibilities:Develop, modify, optimize, test and implement real time quantitative trading models and strategies.Perform statistical analysis of historical and current financial market data.Research strategies in equities, fixed income, options and other asset classes.Generate new indicator ideas. RequirementsPhD or Masters in Mathematics, Read more […]
Senior Quant Strategist
We are currently working with a leading Tier One Bank who are looking to strengthen their Equity Strategist desk in New York, they are looking for a Mid-Senior Level Quant Strategist with 3.5+ years experience within Equities. This is a very broad mandate giving you exposure to a lot of areas within the business. You will be expected to Build up quant processes across the Cash Equities desk as well as working on the improvement and creation of new algos for the desk. You will also be responsible for bespoke client requests on an ad-hoc basis. You will be reporting to the Head of Equity Strategies Read more […]
Major Account Manager
Understanding the business model and strategy of the customers from a business and technology perspective will be essential in materially improving customer satisfaction within the client base. The role requires someone who takes ownership of customer relationships, ensuring delivery of a great service to the account.Your knowledge of electronic trading will be across multiple business lines, ideally Equities, FX and Futures, as well as experience dealing with multi-million pound accounts.Required experience:Owning and managing client relationships, defining the account strategy and account planning Read more […]
Equity Research Analyst
This role sits in a highly regarded European equities team and the successful candidate will generate investment recommendations across multiple sectors. Although a generalist position there will be a particular focus on consumer, healthcare and industrial sectorsThe successful candidate will have:Relevant experience within buy side equity research, ideally with European coverageA track record of stock picking, experience of covering mid cap companies would be beneficialStrong academic background with a financial/mathematics degree from a top tier universityA passion for investing and financial Read more […]
Global Markets Client Management, Japan
This role is at VP level and shall be based out of Tokyo. Working in the CMU team you will help to promote the global markets franchise across the organisation by encouraging synergies, co-operation and cross selling of various product lines.Responsibilities will include:- Maximising revenue generation and ensuring clients are serviced and made aware of the entire product offering of the bank- Ensuring highest levels of service to key and developing clients- Gathering market information and trends to help provide strategic support to the sales team and subsequently clients- Maintaining existing Read more […]
Trade Support Team Leader*
Gain exposure across Asset Classes, work closely with Investment Managers Mentor, develop and lead a small team, build on your product knowledge and be involved in project and process improvement initiatives Be a part of a market leading Australian Investment Management businessAbout the roleAs the team leader you will be responsible for the mentoring and development of a small team, you will be responsible for reviewing their work and working closely with management and the front office. You role will be to ensure trade support operations are run smoothly; this includes the implementation of initiatives Read more […]
VP, Financial Institutions Credit Analyst
Bank of America is one of the world’s largest financial institutions, serving individual consumers, small- and middle-market businesses and large corporations with a full range of banking, investing, asset management and other financial and risk management products and services. Bank of America Merrill Lynch is the marketing name for the company’s global banking and global markets businesses.The Asset Manager Pensions (AMP) team of Financial Institutions Credit Risk (FICR) is responsible for managing risk to clients of Global Banking and Markets. This includes client risks and all product group Read more […]
AVP / VP (Capital Markets)
Job Scopes:Developing and maintaining an investment framework to guide investment strategies over a 3-5 year time horizon.Developing and maintaining a systematic monitoring framework to track economic and financial markets, understanding and modelling the linkages between the economic environment and asset pricing cycles. This includes having a clear approach to estimating the macro economic conditions that are priced into the equity, bonds, commodity and currency markets, as well as the ability to simulate the possible range of asset price returns in different macro-economic scenarios.Leading Read more […]
Quantamental Equity Research- Hedge Fund NJ
Quantamental Equity Research- Hedge Fund NJA systematic hedge fund with a stellar track record seeks an experienced ‘quantamental’ equity analyst to join their portfolio management team. The team creates fully automated machine learning based predictive signals that are used to manage their funds in a short to medium term strategy. The current need is for a researcher who has academic training in a highly quantitative discipline such as computer science, electrical engineering who has industry experience working as a quantitative equity researcher with experience and understanding of fundamental Read more […]
Group Operations Risk Assurance Director
UBS is a global firm, providing securities and other financial products in equities, fixed income, rates, foreign exchange and metals as well as advisory services and access to the world’s capital markets for corporate and institutional clients, governments, financial intermediaries and alternative asset managers.Group Operations Risk Assurance is responsible for providing senior Group Operations management and internal partners with independent analysis and assessment of the process, risk and control framework across all Group Operation’s functions. Risk Assurance is a team that will provide Read more […]