Fixed Income / Macro Hedge Fund Analyst

Our client is looking for someone who is highly driven with strong organisational skills and a highly analytical mind set.Responsibilities: Reviewing and running your own book of Hedge Fund Managers within the Fixed Income/Macro sectorDemonstrate a solid understanding of the instruments and risks within the trading strategiesA successful candidate must have a good understanding of the relative value space and the government bond market.Demonstrate a complete understanding of all elements of the sector strategy such as sources of return, risk, capacity etc. In addition they should provide insight Read more […]

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

Fixed Income Trader

They have offices around the globe and provide a full range of investment banking services, including Corporate Finance, Sales Trading and Research, to both domestic and international clients. They are expanding their CIS base in London which presents a great opportunity to join this small and growing team.Key Responsibilities: Responsible for trading all Fixed Income products – Including Corporate Bonds, Convertibles, Inflation linked and IPO’sMarket making and execution tradingMonitoring the online trading platform for ordersBuild and maintain new client relationshipsSkills requirements:Suitable Read more […]

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

Broker

Our client is a respected Broker Dealer located in Hauppauge Long Island, NY.  They are searching for a Broker (Insurance Fixed Income Products). 5+ years selling financial products Minimum $300,000 yearly book of business Proof of  annual revenue required (via; Taxes or W-2) If you qualify please send resume to nlundy@imsrecruiting.com    

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

FICC Credit Product Control (6 months contract)

As the Product Controller at UBS, you will support the Product Controlling team within the IBBC – Banking Products Asia Pacific. Banking Products (BP) is part of the Core business within UBS IBBC. Products covered within BP are mainly originated loans within Asia Pacific. You will be responsible for the PL production within the APAC Primary business and Balance Sheet substantiation process. This includes liaising with stakeholders such as traders, Operations, Credit Risk Control, Valuations, Financial Reporting, Control Group, IT etc. Requirements:Our ideal candidate should have the following Read more […]

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

Director, Compliance Officer, Fixed Income, Currencies & Credit

Title: Director, Fixed Income, Currencies Credit, TreasuryYour role:Provide compliance coverage and advice for –  Fixed Income, Currencies Credit, Treasury (“FIC” “TRE”)Coordinating with other Compliance Officers within the region in respect of FIC TREReview NPC proposals in respect of FIC TREEnsure business line is updated with relevant HKMA, SFC and HKEx rules and regulations, and market practicesManages Compliance projects related to HKMA/Banking Ordinance requirements applicable to FIC TREHandle customer complaints for FIC TREEnsure there is an effective compliance monitoring plan Read more […]

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

Director

 Together with your team, you will be responsible for the debt capital markets origination and execution duties of SGD/USD bonds to Asian clients comprising of corporates and financial institutions.  You will be instrumental in identifying and assessing opportunities, preparing marketing materials and participate in marketing meetings.  In addition, you will be required to mentor junior staff in relation to the above activities and coordinating with clients and counterparties. In this role, we are seeking candidates with a minimum of 8 years of experience in G3 bonds, cross border transactions, Read more […]

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

Emerging Market Debt Portfolio Manager/Strategist

Position Description:The Company Tracing our roots to 1928, Wellington Management Company, LLP is one of the world’s largest independent investment management firms. With US$746 billion in assets under management as of 30 November 2012, we serve as a trusted adviser to institutional clients and mutual fund sponsors in over 50 countries. Our innovative investment solutions are built on the strength of proprietary, independent research and span nearly all segments of the global capital markets, including equity, fixed income, multi-asset, and alternative strategies. As a private partnership whose Read more […]

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

Commodities Quant

Commodities Trading House 1-3 years experience. knowledge of Commodities modelling/pricing/risk. Working as part of global quant group and opportunity to interact with trading and other quant teams throughout the insitution. requires prior knowledge of commodities space.If you feel that you have the desired skills and would like to discuss in further detail please either call Ariel Booker on  0203 402 6902/ 07748 461 142 or email your CV to abooker@westbourne-partners.com. Westbourne Partners – Quantitative Analytics have a number of similar roles within a large number of financial institutions, Read more […]

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

FIX CONNECTIVITY INTEGRATION SPECIALIST / PROJECT MANAGER

The team is responsible for supporting a variety of technologies and data specifications including FIX, XML, Web services along with connectivity support for our Electronic Trading network (brokers, firms, exchanges – buy/sell side), order and execution support. Order Management and Trading Systems workflow experience is required including a demonstrable skill-set encompassing technology, communication and project management.Requirements:* Understanding of the financial industry markets * Knowledge of the typical components of a trade processing system / OMS * Knowledge of financial securities Read more […]

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

Market Risk Manager Required ForTrading Desk Role in Major Global Investment Bank

• Market Risk Manager | AVP – VP | • London• Exceptional Base + Bonus additional benefits [dependant on experience]Tier 1 investment bank is looking to hire a trading floor based Market Risk Manager in LondonThe market risk team is looking to hire a Market Risk Specialist to be based on the trading floor, looking at cross asset products – both vanilla and exotic. This role is a technical / quantitative market risk management opportunity. The risk manager with be the first point of contact for all risk issues for the in the front office. The group need the risk manager to analyse and give Read more […]

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