Credit Market Specialist
Credit Market SpecialistJob Requisition Number: 38455United StatesNew York – USAThe Role:Bloomberg is looking for a qualified credit market professional to join our growing market specialist group in New York. Applicants should possess a deep body of knowledge and experience within the corporate bond market. Knowledge of and experience with the emerging bond market and/or bank debt market is a plus. The successful candidate will be a motivated self-starter, comfortable in a demanding and client-driven environment.Responsibilities will include:- Providing high-level analytical expertise to clients, Read more […]
Trader Assistant (Academic Part-time position)
Do you have the ambition to become a Trader, but still have at least 9 months to study? We are now offering you the chance to gain experience in the position of Trader Assistant. Optionally, there might be a possibility to combine your thesis with the Trader Assistant role within Optiver. For the position of Trader Assistant we are looking for someone who is based in The Netherlands, is studying towards an academic degree, has a structured way of working, solid working experience in Excel and VBA and significant interest in financial markets. Who we areOptiver is an international and innovative Read more […]
Prime Brokerage Front Office Quant | London
Key Requirement: Incorporation of existing pricing models as much as the development of new modelsTop team is looking for an experienced Quant with EQ Prime Brokerage experience ideally. This team is looking for someone at VP/ED level and interested in people who are highly analytical and very driven to helping build this space. This Snr Quant will centralize risk and devise hedging strategies to support the entire business incl. client analytics pricing, inventory optimization and collateral management. Industry Collateral Optimization: Understanding expected duration of exposure based on Read more […]
Emerging Markets FX SALES and HEAD of Team
The successful individual will have a mix of FX, Derivatives and Interest Rates exposure from a selling perspective. They should also possess and be :- Responsible for maintaining and building business relationships with assigned accounts, in particular with emerging markets clients, through knowledge of the markets and the Bank’s products and services. Generate revenue by developing knowledge of client needs and requirements and coordinating efforts of the Bank to service clients. Establish new client relationships. Essential Duties and Responsibilities Ensure compliance with all legal and regulatory Read more […]
AVP
On behalf of our client, one of the world’s most established and successful banks, we are looking for the best candidates in the market to join their expanding team. If you want to join a team filled with top performers and think you have what it takes to work and learn from the best in the market, please apply. To succeed in this role you must have a minimum of three years within middle office or client services on a Credit or Rates desk (Flow or Exotics). You will have strong product knowledge and a deep understanding of product flow. As this role will work closely with the front office, and Read more […]
Management Information Development
The organisation is in the process of implementing a new Centre of Excellence that will be responsible for preparing all Management Information (MI) and selected Regulatory information across Finance and Risk. This includes reporting such as Market Risk, Credit Risk, PL, MTM, Capital, VaR etc. This is a newly created function and hence provides the individual with a unique opportunity to build and own the organisation’s MI capability.The main purpose of the role includes: * Responsible for defining the future-state vision in term of MI platform * Translate Finance and Risk reporting and MI requirements Read more […]
Interest Rate
Job purpose: To price redress proposals and then produce the redress proposal document that will be used by the client engagement team in the face to face meeting with the customer. Key Responsibilities: Price interest rate derivatives using pricing models Interact with structuring desk in relation to more complex pricing queries Produce proposal document in PowerPoint, ensuring quality, consistency and accuracy Skills Experience: FSA CF 30 qualification preferred (but not required). If not CF 30, then must evidence superior relevant knowledge and experience in the UK or other jurisdictions. Read more […]
Senior Quantitative Energy Trader (m/f)
Our client is an electric power production and distribution utility with headquarters in Switzerland. It specializes in electricity generation, sales and trading, as well as energy services whilst operating in Switzerland, Italy, France, Norway, Hungary and the Czech Republic with plans to grow throughout Europe. Senior Quantitative Energy Trader (m/f) YOUR ROLE: Trade on European Gas Markets Structuring and optimization of portfolio in collaboration with analysts, in particular mid to long term. Trade OTC standard products Portfolio optimization Explore methods to maximize revenue Read more […]
Front Office Market Risk Manager
Top Tier Investment Bank requires Front Office Quantitative Risk Manager for Fixed Income Hybrid Exotic Trading Desk, London Market Risk Analyst, Fixed Income products Top Tier Global Investment Bank London, UK Fixed Term Contract £60,000 – £75,000 base salary + cash benefits A top tier investment bank is expanding their front office risk management function across multiple asset classes. The Fixed Income trading team are seeking an highly quantitative risk manager with hands-on exposure of FI derivatives including knowledge of options Greeks for a senior market risk position on the desk. Read more […]
Senior Sales /Risk Management/Valuations/Pricing/Frankfurt
Our client is a leading technology vendor that specialises in selling large ticket OTC derivative Pricing, valuation and Risk solutions across buy sell side institutions. This is a fantastic opportunity to work for an established brand that has one of the best trading solutions in the Market. The role will be based in Frankfurt and will consist of new business sales across their full suite of Risk Management solutions. You will already have experience of selling into buy and sell side institutions, have previously sold large complex solution deals across the German markets. Job Description: Read more […]