Head of Cash Equities

 Responsibilities:a.     Manage the strategic direction and growth of the cash equities business (local and international)  with full responsibility for revenue and profit targets.b.    Significantly expand the profitability of each operation.c.     Business development, in particular driving client trading volumes and other corporate transactionsd.    Ensure compliance with all regulatory requirements.e.     Monthly, quarterly and annual reporting to business and clients.f.     Exercising budgeting and control of expenses.g.    Analysing the market and the business to Read more […]

July 15, 2013 • Tags:  • Posted in: Financial • No Comments

AVP CHANGE EQD HK

The Equity Derivatives Business is driving an aggressive innovation agenda. This requires funneling the large number of ideas generated at all levels (primarily by FO) into a structured framework. The right amount of rigour in documenting / governing initiatives is important to enable targeted decision making.  These initiatives cover:  Strategic system implementation / re-engineering New Products and marketsImplementation of regulatory requirementsClient offerings strategies Business Processes improvements across FO, Tech and Ops   The candidate would be responsible for:   Work Read more […]

July 15, 2013 • Tags:  • Posted in: Financial • No Comments

Equity Risk Manager

Opportunity to work with a range of award winning trading desks in a blue chip hedge fund. We are looking for an ambitious Risk manager with good solid experience in Equity risk management from a leading investment bank. Candidates should have a good solid grounding in Equity and Derivative products, combined with strong communication skills and an interest in working closely with award winning traders and analysts across the Equity trading desks. We are looking to move quickly on the position given the approaching summer.  Candidates should have a good understanding of the IT environment, Read more […]

July 15, 2013 • Tags:  • Posted in: Financial • No Comments

Portfolio Manager | $5Billion European Hedge Fund | Singapore

This is a unique opportunity for a candidate with a proven track record running an Equity Portfolio to join one of the leading Emerging Markets fund managers as they expand their Singapore headcount.  The role will be running a current book the firm has in place; developing and implementing new investment strategies across a broad range of sectors in the Global Emering Markets using detailed Fundamental research to select profitable stocks. My Client is seeking driven, intelligent people with a deep passion for investing that want to launch their career to the next platform. Role Responsibilities Read more […]

July 15, 2013 • Tags:  • Posted in: Financial • No Comments

EMEA Senior Management

The firm are a leading frontier markets institution covering the entire African continent. They have a highly rated research product and a well respected distribution platform. They are looking for two positions, a head of sales and a head of equities. Suitable candidates will have previous management experience a deep knowledge of Frontier markets or Emerging markets or the African market space. Please send your resume for immediate consideration

July 13, 2013 • Tags:  • Posted in: Financial • No Comments

HEAD OF COMPLIANCE

RESPONSIBILITIESTo lead the whole compliance department to oversee compliance issues in relation to all regulated businesses.To advise management of important compliance issues, organize internal compliance trainings, plan and conduct compliance reviews on business activities, suggest improvements in compliance systems.Overall supervision of compliance and identification of compliance risks of all business activities, including brokerage, investment banking and asset managementMake recommendations concerning safeguard of compliance risksAssist company in new products’ and businesses’ development, Read more […]

July 13, 2013 • Tags:  • Posted in: Financial • No Comments

Oil & Gas Institutional Sales

The firm are a leading EP who are currently listed on the LSE and have been expanding rapidly. The role will involve interfacing with the senior board members of the firm at both CEO and Chairman level, as well as with government and political contacts. Suitable candidates will have a strong understanding of the oil and gas space and importantly a strong network of contacts across the UK buyside space (preferably Long Onlys institutions). Please send your resume for immediate consideration. 

July 12, 2013 • Tags:  • Posted in: Financial • No Comments

Japanese Equity Derivatives Flow Sales, Hong Kong

My client, a Tier 1 Investment Bank, is searching for an equity derivatives salesperson to join their offices in Hong Kong.  The role will involve selling mainly plain flow vanilla options to Institutional clients located across the Japanese market.  Candidates must be fully fluent in Japanese.  The ideal candidate will have a strong sales track record in this market.  They will also have built up an excellent understanding of equity derivative flow products along with the target client range.  My client is most interested in candidates coming from other leading Investment Banks working in Read more […]

July 12, 2013 • Tags:  • Posted in: Financial • No Comments

Analyst and Associate, Equity Capital Markets

Our client is an expanding European advisory firm, who are now looking to add two exceptional professionals to their equity capital markets team. They have a significant pipeline of work and need extra resources on the execution side.The roles will work on corporate broking, listings, capital raisings, secondary issues and other capital markets work. The team is currently small and so you can expect to have full involvement in both origination and execution work, with lots of exposure to clients.They need to add two people – one at the 3rd year analyst level and one at the first/ second year associate Read more […]

July 12, 2013 • Tags:  • Posted in: Financial • No Comments

Director level market risk manager | Equity and Fixed Income derivatives

Director level market risk manager | Equity and Fixed Income derivativesDallas, TXBase salary: £110,000-£130,000, + excellent bonus potential, + leading market benefits  A US investment bank is looking for a director level market risk manager to cover the Equity and Fixed Income Derivatives Desk.  This group supports the trading business by ensuring that risk positions are analysed, measured and administered.  The risk group within this investment bank is the backbone of the trading team and is the key interface for discussing risk issues with them but retains independent reporting lines throughout Read more […]

July 12, 2013 • Tags:  • Posted in: Financial • No Comments