Trading and Institutional Sales-Fixed Income, Senior Associate/VP recruitment
This role shall offer the individual an opportunity to excel in the fixed income product markets space while establishing the institutional and corporate client base. The role will focus on Emerging markets corporate and sovereign bond market and Turkish local fixed income market and derivatives.Key responsibilities:-Execution of client trades in global fixed income markets.-Expanding the institutional and corporate client base and distribution for the products covered-Assessing the market to devise investment ideas in line with strategy themes , communicating Read more […]
Quantitatitative Analyst – Fixed Income – VP recruitment
Quantitative Analyst, Fixed Income, VP, Tier 1 Investment Bank – London. My client is a Tier 1 Investment Bank and they are currently hiring for a lead quant analyst to Join their Fixed Income Group. The opportunity will be within the Fixed Income Flow Group, however they are currently looking for an experienced Quant Analyst who has a good understanding of Exotics to bridge the gap between Exotics and Flow. This role requires someone with specific Fixed Income knowledge and experience building quant models from scratch using C++. Technical expertise required: C++Business knowledge required: Fixed Read more […]
Quantitative Analysts / Developers (Interest Rates Flow & Exotic) – Multiple Desks. job in London recruitment
There are numerous opportunities within the Fixed Income Quant space at the moment. (Specifically within Interest Rates). I am working with multiple desks within both banks and Hedge Funds who are seeking to hire both junior and senior Quant Analysts and Quant Developers with direct Interest Rates experience.Roles vary in focus from heavy Quantitative Development (implementing pricing / risk models in to the analytics libraries using extensive C++ coding.) to heavy Quantitative Analysis (building pricing / risk models and curve construction). Candidates will be considered at any point along this Read more […]
Quant Analyst recruitment
My client is a leading investment banking house with a strong fixed income business, particularly on the rates side.They look to add a fixed income quant with strong technical skills.Experience in one or all of the following:modelling (particularly curve)pricingriskmarket knowledgequantitative libraryC++ / VBAAll strong candidates with around 1-5 years of experience will be considered, derivatives, linear curve modelling being the sought after skill.please email your CV for a detailed job description: chris.apostolou@Arbitrage-search.comThank you. Read more […]
Investment Analyst (Distressed Hedge Fund) recruitment
The successful candidate will have 2-4 years experience as an MA Investment Banker within a BULGE BRACKET investment bank and be top rated in their year group. This role is to work with a tight knit London based investing team working directly under a proven Portfolio Manager investing across sectors and geographies with a primary focus on distressed opportunities in the equity and debt markets.Responsibilities include:Seeking investment opportunities within EuropeInvestment recommendations to Portfolio Managers PartnersPerforming market research and providing reports to managementThe ideal Read more […]
Senior Brokers Account Manager recruitment
KEY RESPONSIBILITIESTo visit all brokers/lead generators and get to understand their business, how they generate leads and where they are selling them.To negotiate and secure long term supply of leads from the brokers/lead generators sufficient to meet or exceed sales targets and at a volume that the sales team can handle.To remain in frequent telephone contact with brokers/lead generators so as to keep abreast of their lead generation programmes and tracking whether there is the need to intervene with a new negotiation to secure share of the leads.To identify and actively recruit new brokers/lead Read more […]
Managing Director – Credit Trading London recruitment
Managing Director – Credit Trading London. £VERY Competitive Package. (Financials, Cash Bonds, Senior, Market Making)A leading US company is looking to expand its London office with the appointment of an MD level Credit Trader. The candidate will ideally have a focus on trading Financials and have built a business in a previous role. This is a market making position where the trader will be trading on their own book and taking positions. The focus will be the US, EUR and GB markets.Responsibilities for: Managing Director – Credit Trading London• Build a strong Financials trading business Read more […]
Product Consultant – S&P Capital IQ, EMEA recruitment
Product Consultant – SP Capital IQ SP Capital IQ combines two of our strongest brands–SP, with its long history and experience in the financial markets and Capital IQ, which is known among professionals globally for its accurate financial information and powerful analytical tools. SP Capital IQ provides multi-asset class data, research and analytics to institutional investors, investment advisors and wealth managers around the world. We offer a broad suite of capabilities designed to help track performance, generate alpha, identify new trading and investment ideas, and perform risk analysis Read more […]
Senior Investor Relations Director – Private Equity / Mezzanine recruitment
Our client is a leading specialist investment firm with an excellent track record in global mezzanine, high yield bonds and European senior loans. They have offices in Europe, Asia Pacific and the US. The main purpose of this role is project management of all fund raising activity globally. This will include managing and coaching a small team as well as overall responsibility for all investor communications, including reporting both for mezzanine and fixed income products. The candidate will be required to forge strong relationships with the Firm’s regional sales coverage teams and the various Read more […]
Front Office Business Manager recruitment
With proven experience in probably 2 roles within the front or middle office your skills will be broad and cover all the normal Business Management areas but with specific focus on Risk, finance and control. Working directly alongside business heads you will be hands on involved with all aspects of the business but with a specific focus on risk and finance. You will be part of a team covering all asset classes providing a first line of support lokoing at trade capture, controls, trading risk and PL. A great opportunity work in a highly visible role.