Market Risk – Credit Derivatives recruitment

Covering the entire product range, the is an urgent requirement for a credit derivative risk manager, this role combines a highly technical market risk role with a hands on business focused element. You will interact daily with the trading desk, senior management and quantitative team to assess, monitor and pre-empt movements within the market. Main duties will include: – VaR calculation, analysis and reporting – Monte Carlo simulation, back and stress testing – Cross over with price testing and valuation teams – Getting involved with projects and reporting to board level Ideal candidates will Read more […]

June 26, 2012 • Tags: , , • Posted in: Financial • Comments Off on Market Risk – Credit Derivatives recruitment

Snr Business Analyst – Credit Derivatives recruitment

Within the Emerging Markets Technology group, the Structured credit space is focused on but not limited to CLN, QCDS, ND TRS/QCDS, and other related credit products. This role requires a very structured business analyst who can specify both functional technical requirements, and have a demonstrable track record of delivering new applications, processes, and support models across FO, finance, credit risk, market risk, and operations. The program spans multiple geographies including Asia Pacific and Europe and has stakeholders and staff in each of the regions in scope. The focus of this program Read more […]

May 17, 2012 • Tags: , , • Posted in: Financial • Comments Off on Snr Business Analyst – Credit Derivatives recruitment

Front Office Market Risk Investment Bank – Credit Derivatives recruitment

Being responsible for the whole credit book, this role combines a highly technical market risk role with a hands on business focused element. You will interact daily with the trading desk, senior management and quantitative team to assess, monitor and pre-empt movements within the market. Main duties will include: – VaR calculation, analysis and reporting – Monte Carlo simulation, back and stress testing – Recommending on trading positions and strategies – Supervising a team and reporting to board level Ideal candidates will possess a wealth of relevant experience within market risk management Read more […]

May 15, 2012 • Tags: , , • Posted in: Financial • Comments Off on Front Office Market Risk Investment Bank – Credit Derivatives recruitment

Documentation Drafting Analyst – Equity/ Credit Derivatives recruitment

Responsibilities:Draft amended confirmations once negotiations have been completedDraft trade cycle events such as Novation, Partial and Full TerminationsInvestigate booking or termsheet related issues – close interaction with Sales/Trading environmentMonitor workflows to ensure confirmations are prioritised accordingly and ensuring dispatch of structured confirmations.Be driven to meet ISDA targets and internal target o confirmation transmissions.Direct point of escalation internally on documentation /template queriesWorking closely with legal credit departments to escalate and resolve queriesWorking Read more […]

May 8, 2012 • Tags: , , , • Posted in: Financial • Comments Off on Documentation Drafting Analyst – Equity/ Credit Derivatives recruitment

Product Control – Credit Derivatives recruitment

A top tier Investment Bank based in the City of London is looking for a Product Controller to join their Credit desk that covers Credit, Fixed Income Exotic and Hybrids, Rates, Equities, Emerging Markets, Securitized Products.As the Product Controller you will be responsible for;-Coverage of Credit Exotics Hybrids and Credit Flow business including. -Work with the Front Office, Market Risk, Model Review and Finance on valuation issues. -Responsibility for valuation of the portfolio, and all fair value adjustments taken -Valuation function lead on signoffs for new credit hybrid trades -Provide Read more […]

December 18, 2011 • Tags: , , • Posted in: Financial • Comments Off on Product Control – Credit Derivatives recruitment

QUANTITATIVE EXPOSURE MODELLING: Adaptiv Project – Contractor – • Experience of the PFE modelling of collateral, FX, Inflation, Credit Derivatives recruitment

My client is a top tier bank in the city offering the opportunity for a contractor- QUANTITATIVE EXPOSURE MODELLING: Adaptiv Project – Contractor The role sits in Corporate Markets Risk within Wholesale Risk that spans Commercial Banking, Corporate Banking, Treasury Trading and Wholesale Markets. The Corporate Markets Risk Infrastructure team is tasked with developing and managing an optimised Corporate Markets-wide risk platform with integrated MI functionality and appropriate control workflows to enable effective risk management.To support the development and implementation of Phase 2 of the Read more […]

September 5, 2011 • Tags: , , , , , , • Posted in: Financial • Comments Off on QUANTITATIVE EXPOSURE MODELLING: Adaptiv Project – Contractor – • Experience of the PFE modelling of collateral, FX, Inflation, Credit Derivatives recruitment

Senior Java Developer – Credit Derivatives recruitment

Senior Developer / Java / Credit Derivatives / Pricing / Risk / SingaporeLeading Investment Bank based in Singapore is looking for a Senior Java Developer  to work within their Credit Trading Department.  You will be responsible for development and mentoring of junior developers.  You will be working with Credit Derivatives and focussing in areas including Pricing and Risk.Required skills are:•Knowledge of Credit Derivatives•Excellent knowledge in Pricing Risk•Excellent Java programming experience – Networking, multithreading and client-server architecture•Source Code Control – Subversion Read more […]

February 10, 2011 • Tags: , , • Posted in: Financial • Comments Off on Senior Java Developer – Credit Derivatives recruitment