FX (forex) / Corporate Treasury sales opportunity based in Vienna, Frankfurt or Geneva
FX / Treasury sales opportunities – Based in Vienna, Frankfurt or GenevaWe have a number of sales roles based in Europe working for a global financial solution provider. The firm is growing rapidly and is strengthen their Sales forces.Financial information sales opportunity:- Roles can be based in Frankfurt, Geneva or Vienna- Depending on the location, the sales person will sell different type of financial software/information solutions to the local banks, asset management firms, brokerages and other financial companies across central and Eastern European CountriesOur clients are looking for:- Read more […]
Senior Manager
Treasury Business ControlThe Treasury Business Control (TBC) team is responsible for supporting the Money Markets businesses in the delivery of their strategic aims, the efficient accounting of and control over the various transactions undertaken across the department and the delivery of insightful management information to senior executives. Our Core functions include:Financial accounting and reporting processes with attestation of the full financial reports suite.Supporting Money Markets operating model.Support, develop and implement all new business and new structure initiatives.Management information Read more […]
FX Graduate Analyst
The ideal candidates will be a driven focused self-starter. The candidate must have experience in trade support, middle office, or traders assistant within a bank.Analyst act as an extension to the sales force providing sales support for FX and FX Derivative products. Assisting the Sales Desks in processing and confirming client transactions, managing internal client trade related processes. Provide support for E-commerce transactions and act as liaison with other sales desks/ operations teams. Qualifications/RequirementsBachelors degreeExperience of Booking / Amending of FX Deals in Trader’s Read more […]
Macro trading strategist – asset allocation team
. You will be working as the FX and rates analyst taking primary coverage for the New Zealand and Australian Market with secondary coverage of china. Your responsibilities will include:- Producing Macro economic reports on the AUZ and NZ dollar and keeping abreast of inflation reports. Delivering key investment recommendations to the team through written and oral presentations. Liaising with the economics department and the portfolio managers to take control of long term investments This is an excellent opportunity for a strategist/economist to move to the buy side and generate actionable Read more […]
Professional Services Project Manager
Our Professional Services Group is comprised of highly experienced and knowledgeable functional and technical consultants that specialize in the implementation of Calypso, across each one of the asset classes and/or functional areas our solution provides. With the utilization the Calypso Delivery Process Model (DPM) our Professional Services team works closely with our customers to understand their functional and technical requirements as well as their organizational processes to help drive a successful system implementation. Job Description OverviewCalypso Technology is seeking Project Managers Read more […]
Senior FX Business Analyst
Responsibilities will include helping in the management and enhancement of the system, performing functional testing of the application and provide internal training. The ideal candidate is someone who traded or supported FX Trading and has experience building FX trading and risk management systems and working with a software company.ResponsibilitiesParticipates in product launches (key messaging, outbound communication, training, competitive write-up and documentation) within your product area.Create relevant and useful documentation (business requirements and specifications for your product.Understand Read more […]
Team Lead
CEM is a trading desk which prices and hedges counterparty and funding risks on firm-wide derivatives portfolio. The team uses Crémant and calculates pricing metrics including CVA, funding and capital, then distributes the risks on the position into liquid markets by trading a wide variety of sophisticated derivative instruments. Markets and International Banking (MIB) is the investment banking arm of the Group, offering a broad range of services enabling major corporations and institutions to achieve their global financing, transaction services and risk management objectives. MIB meets clients Read more […]
Senior quantitative strategy researcher/System developer – Germany
A strong and successful European investments firm are looking to add an experienced senior quantitative researcher to their group in Berlin. The firm have offices in both Switzerland and Berlin and are keen to continue the growth of the firm. You will be hired into a role which will see you being involved in the development of the quantitative trading systems in addition to researching, developing and improving the existing quantitative trading strategies.In order to apply you must have:- Demonstrable experience in a high grade research environment within the financial sector (preferably hedge Read more […]
FX Institutional Sales
FX Institutional Sales – Hong Kong Global non-Asian Investment Bank based in Hong Kong is looking to add a Director level sales person to their FX Sales desk. The ideal candidate will have a minimum of 5 years experience selling FX products to institutions (Hedge funds/ Asset managers) located in Asia. The candidate must have a transferable book of business of institutional clients and be able to start generating revenue almost immediately. The focus of the role will be to contribute to and increase the number of active investors (institutional clients – Hedge Funds/ Asset Managers) to Read more […]
FX Sales to Hedge Funds /CTA?s
Leading house looking to add a senior sales person to their G10 FX Sales desk in Chicago. The ideal candidate will have a minimum of 5 years experience selling G10 FX products to Hedge Funds / CTA’s alongside a very good product knowledge of Options and NDF’s in particular. The candidate must have a transferable book of business of Hedge Fund / CTA clients and be able to start generating revenue as soon as possible. The focus of the role will be to contribute to and increase the number of active investors ( Hedge Funds / CTA clients ) to whom the bank distributes G10 FX products. This role Read more […]