Data Contributions Representative -12 months contract
The RoleGlobal Data Pricing Contributions in the Greater China region is involved in a wide variety of pricing projects that contribute to the accuracy and timeliness of the Bloomberg product. Your work will provide our customers with comprehensive support in OTC products, including money markets and fixed income. Responsibilities will include liaising with our pricing contributors, updating maintaining data on the Bloomberg system, assisting clients on troubleshooting issues and providing training.This is a 12 months contract role based in our Taiwan office. Qualifications- A bachelor’s degree Read more […]
Analyst
Key Responsibilities • Control of operational process flow to comply with regulation/policy • Settlement confirmation of transaction • Local regulatory report to government body (daily/monthly/quarterly/yearly ) • Manage daily activities involving trade management and transaction life-cycle support, issue resolutions and monitoring of operational key risk indicators. • Client supporting • Cooperation with Hong Kong Hub team Qualification Experience • University degree • 4 to 7 years experiences in Foreign bank’s Operation dept. Knowledge Skills • Strong product knowledge Read more […]
Sales: Corporate FX / Corporate Treasury
Excelsior’s Client:A global, well respected and extremely stable vendor with very credible and market leading solutions.The Position: This Corporate Treasury Sales position is responsible for the developing new name treasury sales opportunities as well as developing existing accounts, within large, complex or small Corporate Treasury prospects. You will take responsibility for developing sales plans for specific clients and new business prospects. Ideally you will need to know treasury management trends and competitor vendor offerings.Responsibilities: Formulate corporate treasury management sales Read more […]
Liquidity Portfolio Manager / Money Market Fund (Luxembourg)
The successful candidate will manage the Bank’s in-house money market fund (EUR 1 bn aum) as well as collaborating on the liquidity management activities of the Treasury in line with current policies and procedures to ensure the availability of sufficient liquidity at all times. Responsibilities: Manage money market fund. Sound portfolio management. Understanding of end to end process of daily liquidity fund. Understanding of money market fund pricing. Execute transactions for the liquidity portfolio of the bank. Search for the market opportunities that present the best risk/return profile in Read more […]
Russian Account Manager
Prior experience of working for an FX, CFD, or spread betting firm is not compulsory as full training will be provided. The role of the Account Manager is to build relationships with new clients – engage them with our trading platforms and tools, facilitate their trading activity, and create long term loyalty to our brand. The role will work across our Forex and CFD products, and reports to the Client Service Manager. Responsibilities include: A high volume of daily calls to potential company prospects. Handle inbound queries about account opening and Forex.com services Welcome new clients Read more […]
Python Developer/Engineer/Programmer (London, £120k)
Python Developer/Engineer/Programmer (London, £120k)A leading, global Investment bank are seeking a Senior and experienced Software Developer with demonstrated commercial expertise in Python, as well as at least one other popular server-side OO language (such as Java, C++ or C#). You will join a front office facing team of Developers that regularly interact with Traders and Quants alike, in order to directly gather requirements and draw up technical specifications for new feature requests and additional functionality for a mission critical FX Risk management platform. To succeed in this role you Read more […]
VP
The primary functions of this group are to provide Middle Office support, Funding and Cash Management, Intraday Liquidity Management, Tri-party financing, Network and Vendor Management, Cost of Income Management, Analytics and Optimisation, Reporting, Change Management and Risk and Control. The department has a number of key strategic objectives to drive the function forward and improve our capability including increasing the focus on pro-active value-added services, driving real P/L benefits through cost of income, expense management and funding processes, and driving the strategic investment Read more […]
Macro Economist /Investment strategist – Global Markets – Asset management
Your role will have a combination of Macro-economic research, Market strategy and asset allocation and Thematic Research and you will work closely with portfolio managers, clients and prospects and will also contribute actively to the various publications and projects of the department. In order to Apply you must have:- 3 to 7 years within Economic research with substantial experience of fixed income MarketsDemonstrable knowledge of central bank policiesConducted research on modeling the economy, GDP and inflation forecastingExperience covering growth, inflation, monetary and fiscal policies Read more […]
Credit Risk & FX Programme Manager required by New York based Financial Technology house
The successful candidate will be interacting with senior level external and internal stakeholders, building and nurturing new relationships within client organizations, as well as consistently delivering the highest level of customer satisfaction. Tasks and Duties • Engage clients internal resources with driving the delivery of the acquired services within agreed scope and budget • Conduct project planning as well as developing work plans, creating resource plans and managing day to day project issues Read more […]
Compliance Officer/Specialist (Regulatory Research and Product Development)
Develop, implement, and monitor Policies and Procedures necessary to comply with: Title VII of Dodd-Frank, CFTC regulations, NFA regulations, and other regulations promulgated by relevant regulatory authorities