AVP, Risk Analyst, Investment Function
The Treasury is centred around five global functional pillars – Capital Management, Liquidity Management, ALM/FTP, Treasury Execution and the Investment Function – complemented by three regional and two business cluster Treasuries. These functional, regional and business treasuries work together in a matrix structure. Treasury is represented at Group ExCo by the CFO and at Cluster ExCo by the Barclays Treasurer The banks treasury Investment Function manages the firm’s liquid asset buffer to optimise the return of investment assets to partially offset the costs of holding the buffers. Additionally Read more […]
Equity Derivatives Quant Analytics Developer
Equity Derivatives Quant Analytics Developer – Senior VP / ED LevelLondon basedJob Headline: Experienced analytics developer’s position within Equities Quantitative ResearchJob Summary: This is an analytics development role aligned to the Equities derivatives business / trading desk. The role will enable taking leadership of some of the key projects being undertaken by Equity Quantitative Research, contributing to the development of the analytics library in collaboration with the front office, technology and various control groups. Core Responsibilities: • Take ownership Read more […]
Derivatives Trading Risk and Control
Your role will be to provide a high level and immediate level of Risk and Control for your assigned front office business function. Coming from a proven front office background you will have an indepth knowledge of products, process and their required controls to limit / monitor risk. As a senior Member of management you will have the experience and gravitas to challenge the front office business backed up by your knowledge of the sales and trading arena and Risk. This is a new function offering an excellent opportunity to utilise your FO knowledge in a highly visible position.
Business Analyst
The job holder is responsible for serving as the go to thought leader in a specific business domain within a line of business. This individual serves in a cross-program role to ensure quality of the deliverables within their areas of expertise and drives innovation and strategic solutions within global, mission-critical, large-scale programs. S/he has extensive and deep expertise and business domain knowledge in the sophisticated, global capital markets industry; including securities processing, custody, alternative investments (hedge funds/derivatives), clearance, accounting, cash processing, Read more […]
Sr. Derivative Analyst
Job Summary: Drive and coordinate operational implementation of new derivative instruments and programs for a variety of derivative types including exotic instruments such as CMS caps, inflation swaps, forward starting swaptions, CMS currency swaps, and variance swaps Collaborate with stakeholders as new instruments are considered for trading Understand the complexities and nuances of instruments being traded, including front office, operations, valuation, and reporting requirements. Propose appropriate operational configuration and valuation methodologies Ensure timely operational set-up Read more […]
Absolute Return Derivatives Portfolio Manager
The Fund: A tactically managed absolute return fund with the ability to invest across numerous asset classes. Fund Managers are responsible for top-down asset allocation decisions.The Approach: Using quantitative tools to support valuation analysis, managers build a forward looking risk and return framework for each asset class that maybe included in the fund.PURPOSE OF ROLE:Manage portfolio with the intention of outperforming a specific benchmark.Sell international product to predominately European client baseContribute to the development of the investment process by generating ideas (alpha Read more […]
Pricing and Valuations Analyst
You will be responsible for the daily pricing of OTC products such as Interest Rate Swaps, Credit Default Swaps, FX, and Swaptions and be involved with interest rate curve construction, working closely with vendors, configuring pricing systems, assisting in the development, testing, and implementation of new models and new products.Qualifications: Ideal candidate will have a broad knowledge of derivatives and fixed income securities. Experience valuing IRS, CDS, FX, and Swaptions. Advanced degree (MSc) and Math/Finance background. Comprehensive understanding of interest rate curve construction Read more […]
Senior Internal Auditor – Investment Banking
Eximius are recruiting for a Senior Internal Auditor for a major global banking group, with a focus on the investment banking activities, capital and traded markets as well as treasury operations. This organisation has a culture of developing and promoting younger auditors both into the business and through the ranks of the internal audit function. Travel would be globally, for approx 40-50% of the year to major financial hubs (NY, London, Singapore, HK, UAE etc plus many others). Work life balance is extremely good, and you will be working with many other likeminded people with similar backgrounds.Requirements:Minimum Read more […]
VP, IR Quant on trading desk | NYC
This recognized bank in NYC are looking to add a Senior Quant to the team to cover the Interest Rates derivatives space. the Head of QR is looking for someone ideally at about the 5-8 year mark, with a background in investment banking ideally. However, the hiring manager is open to considering exceptional candidates from other institutions. Requirements:Minimum of 5+ yrs working experience in a fast-paced, high demanding trading desk environment in the front office at a major financial institution.Experience with implementing various interest rate pricing models (ideally at top banks)Detailed knowledge Read more […]
London/NYC: Product Specialist (FX & Commodities)
Locations: LONDON OR NYCThis institution is a global financial services firm who have grown 600% in the past 5 years. They have an excellent working model and have a very dynamic and entrepreneurial environment. The teams are very inetractive both internally and externally (with buy-side clients) offer huge potential for career progression within this organisation. Department overview:The Portfolio Valuations department provides an independent, post-trade valuation service to buy-side institutions globally, covering vanilla and exotic derivatives, cash instruments and structured notes across Read more […]