Corporate Derivatives
This well established and highly regarded global investment bank has a strong local presence across Investment Banking, Capital Markets and Global Markets. They are now seeking to add to the corporate risk solutions group in both rates and FX teams. Reporting to the Directors, you will support the team in facilitating the structuring of corporate risk solutions to the bank’s corporate clients. You will be involved in pitching, structuring and execution of transactions, and support the broader derivative and risk solutions work of the firm. Tertiary qualified, you will ideally have 2-3 years Read more […]
Equity Derivatives Corporate Business Controller
Product Control are the Financial Guardians of the Bank’s sales and trading activities. We fulfill this role through: Ensuring complete, accurate and timely PL, Balance Sheets and analysis. The independent validation of the value of our trading portfolios. Working with the businesses and the new business product groups to evaluate integrate new products and businesses into our financial environment in a controlled manner. The provision of reliable and meaningful financial information to the business managers, external stakeholders and other relevant internal constituents. US EQD Team has an Read more […]
VP/Director, Emerging Markets Sales, Financial Markets
Role Objective: As part of a small team and reporting into the Managing Director you will be given responsibility to develop and expand the bank’s emerging market franchise in Europe with a focus on European and North American institutional and corporate clients. Candidate Requirements: Ideally you will have a track record of growing a european emerging market business across a European and US client base. You will have covered a broad range of financial market products, and have a good understanding of emerging markets products, in particular Middle East and Africa. You will have a strong Read more […]
VP – Model Validation – Counterparty Exposure Calculations, CVA, IMM, Basel 2/3
JOB DESCRIPTION The Counterparty Risk team is looking to have an experienced CVA risk quant to join the group. You will be engaged on various projects to strengthen counterparty credit exposures. Since Basel III is becoming a bigger focus, the team needs a subject matter expert who is well-versed in the regulatory requirements and has hands-on experience. We are looking for candidates who are currently in a counterparty credit risk team in a modeling or validation function. This role will allow you to gain a “bigger picture” exposure rather than focusing solely on a risk management type Read more […]
OTC Pricing Associate
Key responsibilities: Calculate OTC trade exposures and ensure they are in line with regulations for specified clients Construct Excel models for the pricing of new product launches Utilize systems to maintain daily pricing for valuation, accounting and monitoring activities on segregated and pooled accounts Distribute MI reports on outstanding trades, positions, price queries Act as the first point of contact for Front Office, Operations and other internal teams on any derivative activities Key requirements: A strong background within pricing and valuations on vanilla and exotic interest rate Read more […]
Quant – trading & risk management
This firm is looking for a trading risk management quantitative consultant with a good understanding of derivative modelling in London. This opportunity is a client-interfacing role in their European HQ in their London offices. It will interact with their clients, sales and research teams. The successful applicant will be dealing with traders, portfolio managers and other users on some of the complex financial problems. Opportunity Communicating with clients on their modelling needs, questions around the models and assisting with the validation of themAn element of pre-sales and involved Read more […]
Collateral Manager
Our ClientOur client is world recognized asset manager. Due to a changing market and regulatory enviroment the team is seeking a collateral manager as part of the derivatives process. Thie ideal professional will have a collateral background with derivatives experience. Securities Lending experience will also be considered.Job ResponsibilitiesManage the day to day processing of various collateral functions within the team.Perform detailed review of exception processing by analyzing established measures.Ensure that the group’s performance standards are met, minimizing errors and costs. Report and Read more […]
Equity Exotic and Hybrids Technical Structurer
JOB DESCRIPTION We are working with a top investment bank that is looking to hire a structurer in their complex equity and fund linked product business in London. The team is one of the very best equity derivatives team in the market in terms of revenues, platform and franchise. This role will be focused on working alongside both the traders and quants in the delivery of highly innovative and complex equity trades. The desk is renowned for developing highly complex and innovative structures which, by their nature, mean that there are issues around accounting, tax, and other regulatory matters that Read more […]
Managed Accounts Business Development
JOB DESCRIPTION We are working with a group who are looking to add to their established managed accounts business. The team is known for having a leading infrastructure and product offering in the space and who are now looking to bolster their marketing efforts to monetize further the platform they have built. The group is looking for a person who is able to drive the business development efforts both in onboarding new managers but, crucially, in the marketing of the platform to new investors. The ideal candidate would come from a leading 3rd party managed accounts platform and have both a strong Read more […]
Light-ends Risk Manager $120-200k
An elite physical commodities shop is seeking a risk manager to join its team in Stamford,CT. The successful candidate will be sitting on the light-ends trading desk and will be primarily responsible for booking trades, monitoring complex pricing exposure, valuation of physical positions, and attribution of multiple PL Drivers. Minimum Requirements: -3-7 years experience in clean products risk control / management function-Understanding of US gasoline, naphtha, and LPG markets-Analytical creative thinking skills-Advanced Excel skills To find out more about Huxley Associates please visit www.huxley.com Read more […]