Project Manager / Business Analyst – FIX Connectivity – FIX Support Onboarding
Junior Project ManagerYou will have 3-6 years project management experience and ideally come a vendor or bank / broker within a FIX connectivity or electronic trading team. You will have a background in co-ordinating development teams who are providing connectivity servcies to end clients and will be You will also need to have a background of delivering large scale projects for large financial institutions, should be Prince II or MS Project qualified..In this position you will be responsible for co-ordinating tier one clients projects and will therefore need to have a very client facing Read more […]
European Credit Strategist
Responsibilities * Formulation of house view on economic and monetary policy and it’s impact on allocation within credit markets * Working with sector analysts to provide overlay of strategic macroeconomic view * Contribution to written research; 2-4 pieces of commentary weekly * Aggregation of large data sets and interpretation thereof * Working with sales teams to deliver external client solution * Regular participation in internal meetings Qualifications * Strong academic background and interest in capital markets * Analytical background and understanding of driving factors in credit * Ability Read more […]
High Yield Distressed Research Analyst
Leading Financial Brokerage Firm, London FIXED INCOME PRODUCTS COVERED:Emphasis on special situations and illiquid assetsTraded products include investment grade, high yield, distressed debt and Emerging MarketsInstruments include bonds, loans, convertibles, structured products hybrid securitiesKEY SKILLS EXPERIENCE:Over 4yrs relevant experience in the marketHigh yield distressed research sourcing capabilitiesIdeal background working on distressed illiquid desk (structuring/restructuring)Providing investment recommendations, including verbal written research reportsMinimum of degree educated Read more […]
SQA Test Automation Specialist
The RoleBloomberg is seeking an SQA Test Automation Specialist to support our Trading Solutions Software Quality Assurance Team. The team performs functional software testing on Bloomberg’s Trade Order Management System (TOMS) which provides sell-side fixed income firms with global, multi-asset solutions for front-end inventory, trading, and middle back office operations. Responsibilities for this role include building automated test scripts based on manual test cases provided by team members, mapping Bloomberg application screens in order to make them available for automation and supporting the Read more […]
ISDA Repo Negotiator (Fixed Income Documentation)
Position Category: Fixed Income Sales TradingPosition Title: ISDA Repo Negotiator (Fixed Income Documentation) – AssociateJob Level: AssociateLocation: United Kingdom – LondonEducation Required: Refer to Position DescriptionPosition Description:• Drafting and negotiating flow repo documentation. Obtaining capacity advice where relevant. Working with sales and marketing coverage with progress and setting priorities. Elevating issues to the desk and risk;• Working with Ref Data, Party Attributes and T3 Mapping to reconcile repo and securities lending trade types with governing documentation Read more […]
Fixed Income Analyst / Reporter
You will focus on Asia-Pac STIR and government bond markets, including government bond auction analysis and derivatives. You will also be producing email reports periodically during the day.Market News International (MNI) was established in the mid-1980s and has a strong customer base among the sellside and buyside communities in Europe and the US.The addition of this new role highlights our commitment to build out our coverage of Australian and Asia interest rate markets.For a more detailed description of this position, please email clive@marketnews.com. If we like your CV, we will send over more Read more […]
Portfolio Manager – Global ex
Primary responsibilities:Establishes a portfolio that has the following attributes:Liquid Structure – Investment Strategy is managed as a daily NAV 40 Act mutual fundLow targeted volatility – annualized volatility (10%)Low correlation to other asset classesInterest rate hedged – modified duration generally of +/- 3 yearsEmploys a variety of hedged trading strategies, such as pairs trades, curve trades, and capital structure arbitrage tradesEmerging markets represents a significant allocation of risk and return in the portfolio Develops own recommendations as well as evaluates investment Read more […]
Fund of Hedge Fund Analyst
Fund of Hedge Fund AnalystLocation : New York, USASalary : Very CompetitiveClient My client is a top tier US Fund of Hedge fund that is looking to bring on an analyst covering the US fixed income / macro funds. The client has circa $1.5 billion AUM with 5 top performing fund of hedge funds. The successful candidate will have 2-6 years experience in a fund of hedge fund looking into fixed income and macro managers or within an macro hedge fund. CFA is a strong plus with a top tier educational background Requirements 3-6 years experience in fixed income and macro investmentsExperience in a Fund Read more […]
Junior Software Engineer (£55k, Banking, Java)
A leading, global Investment Bank is seeking a talented and ambitious Graduate to join their Fixed Income Pricing department as a Junior Software Engineer/Java Developer. The team you will join is responsible for developing and maintaining the centralised pricing application for Fixed Income trades. You will develop your already strong skills in Java Development, and you will utilise your excellent aptitude for Maths in order to Price various Bonds and Swaps. In order to succeed in this role, you must possess all of the following – A Mathematics or Computer Science related degree, from a reputable Read more […]
Interest Rate Quant; London based opportunity; £75k
European Investment Bank. 1-3 years experience. knowledge of Interest Rate modelling/pricing/risk. Working as part of global quant group and opportunity to interact with trading and other quant teams throughout the bank. requires prior knowledge of interest rate 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 […]