Clearing and Collateral Management Business Analyst – Investment Banking Consultancy recruitment
You will be a natural consultant with drive and ambition to complete projects using your exceptional business analysis skills and outstanding eye for detail. Coming from an investment banking background, you will have a deep understanding of listed and OTC derivatives and want to work on this very high-profile project.Your talents:• A collateral management background with strong listed and OTC derivatives experience• Treasury investment experience advantageous• Vendor selection experience• Experience of developing detailed business requirements and functional specifications to a high Read more […]
Market Risk Business Analyst – London recruitment
IT Market Risk Business Analyst required by large Investment Bank, based in London, to work on the generation of Market Risk systems that provide the consolidated view of risk information for use in risk management globally. You will have recent and extensive Investment Banking experience coupled with extensive Market Risk experience to include Monte Carlo, VaR (Value at Risk), stress testing and regression reporting experience. The candidate will also need to understand Market Risk from a desk perspective and have a strong exposure in working with traders in requirement gathering and analysis. Read more […]
Operational Risk Manager recruitment
They are looking to hire an operational risk professional to join their London office and work as part of a small team with a diverse set of operational risk responsibilities.Responsibilities include:Promoting an appropriate culture of awareness of and attention to operational risk throughout the bank.Building strong relationships with relevant business areas to be aware of business developments and their impact on the operational risk profile.Facilitating Risk and Control Self Assessments by Risk Owners. This will include running risk assessment workshops with various business areas and support Read more […]
Institutional Account Manager – CFD recruitment
Your main duties will include:Build strong and lasting relationships with institutional clients, including Introducing Brokers and White LabelsEngage institutional clients to encourage them to promote our products above other available servicesEffectively manage institutional client relationships, includingDeveloping a clear strategic roadmap and effectively communicating that roadmap internallyFinding out and understanding the client’s objectives and designing mutually beneficial opportunitiesLiaising with various parts of the bank to drive product requirements, involving senior management Read more […]
Associate recruitment
A Leading Investment bank are looking for a spanish or portuguese speaking derivates solutions associate to join their team. The successful candidate will be doing the following tasks amongst others. formulating derivative pricing strategies and transactions of vanilla and structured products; executing trades for clients; assisting in the management of team of lawyers, accountants and credit analysts in ISDA negotiations and credit lines; creating marketing pitches; and regular analysis of internal profit targets and global markets. Ongoing client contact and marketing of derivative products Read more […]
Senior Fixed Income Quant Analyst (Modeller) – Investment Bank – London recruitment
The successful candidate will have extensive experience in quant modelling, be highly numerical and have strong coding skills. Whilst this role will have management responsibility, it is very much a hands on position which requires you to code!
Credit Risk Analyst recruitment
THE COMPANY: Our client is a leading exchange. They are currently looking to hire a junior credit analyst for their established risk team. THE RESPONSIBILITIES:To assist in all counterparty credit risk related matters, across all asset classes which the firm currently trades:Annual credit reviews Quarterly credit reviews Capital monitoring for European and US members on energy, CDS and FXCredit files for potential new members across multiple asset classes.Assessing balance sheetsCapital monitoring reportingEXPERIENCE REQUIRED: Credit risk experience gained within a financial services environment. Read more […]
Analyst, Associate – Capital Markets – Financial Institutions recruitment
Job Title: Analyst, Associate – Capital Markets Treasury Solutions (CMTS) – Financial Institutions Group (FIG) Corporate Title: Analyst/ AssociateDepartment: Corporate Finance – Capital Markets Treasury Solutions (CMTS)Location: LondonOverview:Corporate and Investment Bank (CIB) comprises three businesses: Corporate Finance, Markets and Global Transaction Banking (GTB) and includes regional coverage in the Bank’s key growth areas.Corporate Finance offers advisory services, financing and transaction banking of the most innovative kind. Governments, institutions and corporates all come to us for Read more […]
Analyst/Reporter (Credit & Rates) recruitment
Bloomberg News is seeking Analysts/Reporters for our First Word Rates/Credit product, based in our London office. The individual in this role will be responsible for providing concise, on-the-spot stories on: RATES REPORTER: developments in sovereign fixed-income markets, capturing the elements of both ‘what’s happening’ and ‘what it means,’ particularly in the context of macroeconomic and political developments, monetary and fiscal policy, debt offerings, fund flows, repo and money markets, relative value and curve analysis; strategist/analyst calls and buy/hold/sell, overweight/underweight recommendations. CREDIT Read more […]
Associate M&A Opportunity within FIG Investment Banking recruitment
My client is a top performing and well regarded MA Advisor who have shown an impressive presence within the FIG MA space in the UK and across Europe. They are currently looking to expand at the Associate level due to the demand of their services in this market. In order to grow their market share they have begun expansion of their team and have hired at the Director level and are now looking for a Talented associate to join their team. You will have at least 3 years of MA experience within the FIG market and have completed Deals within Insurance Banking or Asset Management covering both Read more […]