Senior Project Manager, Derivatives Regulatory Reporting, Director

The role is high profile and offers exposure to all asset classes and functions within the Investment bank as well as the other businesses within the Bank that require co-ordinated support for Derivatives Reporting. This, combined with the ongoing significant Regulatory change agenda, gives excellent future career options.The main function is to support the delivery of the solutions to meet ongoing Derivatives Reporting obligations within the EMEA region. This includes the EMIR regulation (and subsequently MIFIR). The role will encompass managing the governance of the portfolio of work, ensuring Read more […]

May 18, 2013 • Tags:  • Posted in: Financial • No Comments

Portfolio Controller

 Portfolio Controller for Solutions Portfolio Management Team. As a Front Office Support, the Portfolio Controller for Solutions Portfolio Management Team is in charge of the operational support for the fund management team. He has key responsibilities on the valuation process regarding the three following expertises:   Index fundsNAVs and reporting controlsDaily benchmark controlsFront Office support: exposures follow-up, FO positions checks, bucket allocations…       2      Quantitative fundsOTC pricing (Total Return Swaps, Inflation Swaps, Index options…)Check of internal Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Compliance Advisory Manager

 Our client, a global private bank is looking for a compliance advisory manager to provide advice, guidance and support to their front office. The individual would help to develop and maintain regulatory standards to enhance and protect the reputation of the firm.Duties Include:Liaise with and provide guidance to the front office on compliance issuesProvide detailed compliance advice and guidance in relation to existing and new business initiatives.Ensure that the business maintains the requisite regulatory standards by following internal policies and external UK and overseas regulatory guidelines.Develop Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Quantitative Analyst, Sell Side, Hong Kong

Position: Quantitative Analyst with around 2-4 years of experience within Fixed Income – ideally Credit, or alternatively Rates and/or Inflation, and/or Equity Derivative products You will be joining the Front Office Quantitative Analytics team in one of the largest top tier European Banks located in Hong Kong.The team is responsible for pricing and risk managing a range of exotics and flow fixed income financial instruments to support a team of 12 traders. There is a large degree of financial and mathematical modeling involved in this role with a heavy focus on stochastic mathematics to price Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Senior Market Risk Manager Prop Trading with Fixed Income Rates

Role is to work with Senior Prop Traders/ Portfolio Managers. This involves setting limits, liquidity analysis, pricing action of products, developing trade strategies, developing investment ideas, monitoring, VAR, PL etc…..Focus is mostly on Rates prop trading (Swaps, Bonds, Futures etc.)90% of Portfolio is Rates, the rest is FX and then Credit etc.They do the full gamut of Rates products, US, International, Bonds, Swaps, futures etc….Candidate must have previous exposure to Prop Groups or Prop Trading either from a trading role or Market Risk role.  But this is a Senior market Risk role.Candidate Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Director-Interest Rates/Derivatives Quantitative-Model Validation – Market Risk

The successful candidate will review, verify, and validate existing risk and trading models for theoretical soundness as well as provide analytic risk support and analysis of the firm’s extensive fixed income, derivatives and structured credit portfolio. The Candidate must be experienced in advanced stochastic processes [VaR, Monte Carlo, Finite Differential Techniques] used for pricing exotic derivatives such as barrier options, callable bonds, Bermuda Swaptions]. Candidates must have 5+ years of experience in model development and or model validation, advanced quantitative degree, current hands Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Analyst

 This is a great opportunity to join a tier one investment bank in a market leading team. The Analyst with focus on balance sheet solutions/capital structure advisory across banks and insurers throughout Europe and will be involved in advising clients on a range of financing situations.The ideal candidate profile should include:· Previous experience of working in a Insurance and/or Banks solutions role within a top tier FIG team· Strong knowledge of derivatives and insurance/banking regulations including Basel III and Solvency II· Demonstrable ambition, creativity and an intellectual curiosity· Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Commodity Structured Product Trader

The ideal candidate will have 2 to 3 years’ commodities vanilla and exotic options trading (or structuring) experience, together with a strong quantitative and theoretical background looking to develop their career as a commodity structured product trader within an established trading house.The role provides great potential and opportunity for trading volume growth with the intention of increasing your trading responsibilities and limits.You must be a highly organised, self-motivated person who displays a high degree of initiative and works well as part of a team. RESPONSIBILITIESPrice commodity Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Counterparty Exposure

Top Tier Investment Bank is looking for a high calibre individual to work within the Counterparty Control and Control Governance areas; these are new teams charged with greatly enhanced risk delivery and quality control obligations, designed to ensure that the risk management function receives the level of service required for the Bank to operate within an increasingly demanding regulatory environment.  It is a rare opportunity to build a critical core of financial expertise and experience that will allow for career progression into front office, exposure management and risk management, among Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

Hedge Fund Sales VP / Director – Investment Firm

JOB DESCRIPTION A growing Swiss and German based investment firm is looking to bring in a mid level – senior person to run their hedge fund sales efforts in London. The successful candidate is likely to have a minimum of 3 years direct sales experience. Actively focused in on hedge funds and had exposure to the sales and Marketing of algorithmic and quantitative investment strategies, packaged into customized indices.The group focuses on investing in startup institutional clients and developing their marketing and sales departments, building AUM through strategic marketing, sales and business Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments