OTC FX Derivatives Documentation ISDA Documentation Team Investment Bank Development Opportunity £150 - 160 per day A global investment bank is seeking an FX Derivative professional to joint their OTC FX Derivative Documentation Team. - Prepare and maintain structured FX or Structured Rates confirmation report daily - Ensure all incoming confirmations are reviewed within the agreed time frames - Ensure...
Roles/Responsibilities Documentation of current issues Understanding the gaps within FX Help with the preparation of transfer pricing documentation Ensuring that FX comply with transfer pricing policies Ensure global consistency Help with profitability reviews Track and resolve issues Skills/Experience Essential: Previous Business Analysis experience Awareness of Transfer Pricing Dynamic personality Ability to deal with people at all levels and to build...
This is a superb opportunity either for an existing COO to step into a remit where the investment bank has solid foundations, a robust strategy and is in a strong position to capitalise on EMEA market share or for someone who is happy to take part in a 2-4 year succession plan, initially as a head of operations with a...
Our client who is a major European Investment Bank is seeking an experienced Financial IT Business Analyst to implement the Accounting Rules Engine. The Finance IT department serves the Finance and Product Control business functions across the organisation. It has a significant presence in all major sites and comprises and is responsible for the development and support of several high...
Treasury job: Treasury Analyst; an exciting job opportunity has arisen with a large Oilfield company in the Thames Valley Region. This exciting new role will be predominantly involve supporting the group treasury projects manager in the delivery of treasury projects The main responsibilities will include: Assisting with the banking Migration Assisting with the funding structure Document and issue a full...
My client who is a leading and internationally recognised Private Bank are recruiting for an Investment Finance Transactor / Senior Credit Structurer The role: The Credit structuring or Transactor team is a client facing team within which provides front office support across a wide range of geographic platforms and is focused on structuring complex credit transactions for Ultra High Net...
Treasury Job: Treasury Dealer An exciting job opportunity has arisen with a large Blue chip company based in West London. This vacancy is immediate and requires someone on a minimum of 1 weeks notice and will be on an ongoing basis. Main Responsibilities Work with the reporting units to support them in identifying and managing their FX exposures Place FX...
Respected City based International Bank wish to recruit a new member of staff for their busy Derivative Services team that settle and confirm a range of products including FX Options, Interest Rate Swaps, Credit Default Swaps, Futures and Bonds. The person appointed will ensure that all Derivative transactions are processed, confirmed and settled on a timely and accurate basis, with...
We are a research focussed Global Inter Dealer Broker who are now looking to hire a Senior Commodities Sales Trader in Metals Are you a senior commodities sales trader with in depth relationships? Do you cover Metals ( precious/ferocious) across Europe/Asia? Would you like join an entrepreneurial, established and well respected, research focussed Inter Dealer Broker? If the answer is...
STMF Middle Office provides a full and dedicated support to the Short Term and Financial Markets (STMF) business. The nature of this of support requires strong multi-faceted individuals who are able to understand the lifecycles of the products traded, the systems and reporting mechanisms required to enable full control of the business. STMF covers all forms of financing transactions from...
A Fixed Income Settlements Officer is required for a leading provider of capital market products and services to corporate, government, and institutional clients with market-leading experience in Investment and Corporate Banking, Capital Markets, Derivative Products, and Foreign Exchange and Money Markets. The incumbent in this position will be responsible for the timely matching of settlement instructions in Euroclear, maximising settlement...
Eximius Operations is currently partnered with a global Investment Bank based in Canary Wharf. The Job is for an equity Derivative Control Analyst. The successful candidate will be working in the Middle Office team and be responsible for reconciliations for equity Derivatives. It includes exposure to most Equity Derivative products and internal departments including product control, settlements, technology, documentation and...
Our client is a pre-eminent broker of futures, options, equities, fixed income, and equity derivative products, which provides first-rate brokerage services for institutional and private clients, serving as an intermediary in the worlds metals, energy and foreign exchange markets. They currently seek an Operations Controls Clerk, to be based in the City of London. Responsibilities will focus on the identification...
This well respected city based European bank are looking to recruit an experienced individual who has acquired proven work experience selling money market products, Repo, securities lending, Interest Rate and cross-currency Swaps. Applicants must be FSA registered with a transferable client base. Duties will include:- Expand client driven repo & securities lending business, expand customer driven short term Interest rate...
A major City based International Bank are looking to employ a degree educated individual who has acquired previous Risk Management experience and proven Market Risk analysis skills. Applicants must have a reasonable knowledge of various products to include CDS and FX Derivatives coupled with Risk Methodologies and Models. Duties will include: Monitor / analyse and report Market Risk including marketable...
The FX programme is a key strategic initiative within this leading investment bank. Reporting to the executive sponsor of the programme this is a key position, with the expectation of and the responsibility for the delivery of multiple project streams within the timeline and cost budget. FX Programme Manager £750-£1000 per day Initially 6 months contract City of London You...
An urgent requirement has arisen at one of the leading U.S Investment Banks in the City. The role is initially for 3 months and would require someone who is immediately available. You will be part of the European Product Control team who are responsible for the daily and monthly reporting for several lines of business within the legal entity structure....
This is a great opportunity to join a growing Asian bank in the City. They have an open requirement for a treasury dealer to manage risk and liquidity on behalf of the bank. The role involves dealing in FX spot and forward contracts to cover the banks positions and supporting overseas branches with their treasury requirements. Manage treasury liquidity and...
This expanding City based European Investment Bank are looking to recruit a well educated individual who has acquired a wealth of Operations Project Management experience gained within a banking and/or Consulting environment. Applicants must have a full understanding of the main Operations workflows within FX, Treasury, Cash Management and preferably Commodities. Duties will include: Manage projects for FX / Treasury...
An exciting opportunity to join one of the world's leading Banknote dealing teams. Job Description To actively manage a portfolio of International Clients in a designated country region and to trade banknotes on a daily basis with these and other International Clients as part of an International Team of Dealers. Requirements * To have an understanding and interest in Foreign...
A leading Investment Bank is seeking a motivated and driven individual to join their Exotic Review Team. Detailed specific responsibilities include: • An advanced understanding of the full Front-to-Back process and product lifecycle for structured rates trades including: FX, FX Fwd, IRS, Loan IRS, CMS, Range accrual, Inflation, Basket trades, swaptions, CAP/Floors, exotic and hybrid rates structures. • Be able...
A major global bank is recruiting multiple candidates for their Global Markets Audit team. Candidates can come from an audit, product control, accounting, risk management or even front office background. However, it is essential that candidates have strong knowledge of investment banking sales and trading products, e.g. commodities, equities, credit trading, rates, FX, derivatives, market and credit risk. The successful...
A highly prestigious investment bank, who specialises in providing a wide range of structured solutions across all areas of risk management including FX, interest and credit and inflation, requires a Senior SOX and Assurance Manager. The aim of the role is to play a lead role in supporting senior management with the programme of work being undertaken across the bank...
Our client is a global leader in the consulting and advisory services space. Due to unprecedented success of their Financial Services Group, we have been given the remit to help further grow this team. We are specifically looking for skills within wholesale banking/capital markets. Candidates with experience in the following areas are of particular interest: IT, Operations and Product Control....
An urgent requirement has arisen at one of the leading U.S Investment Banks in the City. The role is initially for 3 months and would require someone who is immediately available. You will be part of the European Product Control team who are responsible for the daily and monthly reporting for several lines of business within the legal entity structure....
A WELL REGARDED INTERNATIONAL BANK REQUIRES AN EXPERIENCED PRO ACTIVE CUSTOMER DEALER WHO HAS AN APPROPRIATE BANKING BACKGROUND TO JOIN ITS ESTABLISHED LONDON OFFICE TRADING ROOM AND SERVICE ITS CURRENT CUSTOMER BASE .A GOOD KNOWLEDGE OF FX, FX FORWARDS AND FX OPTIONS MARKETS IS REQUIRED .ALL CANDIDATES MUST ALSO DEMONSTRATE A STRONG LINK WITH A RECENT OR EXISTING DATABASE OF ACTIVE...
Poised for significant growth both in terms of volumes and complexity of products, in order to provide the appropriate support for this growth, a role has become available in product control. This is a key role and the candidate will work closely with Front-office and become a key part of the finance team. Objective of this role; To deliver the objectives...
Our client is a respected investment bank who employs over 3700 people in 15 countries. Our client is particularly strong in fixed income, infrastructure finance, structured products and foreign exchange. They require Market Risk Analyst within Structured Rates to cover a maternity leave. This key Market Risk Analyst within in Structured Rates role will see you: Stress testing and VaR...
We are looking for a highly experienced and capable individual to take the lead role in the pricing of equity structured products and exotics. Duties & accountabilities: *Taking responsibility for all aspects of the pricing of equity structured notes and exotics for clients, including: *Leading the effort to interpret and analyse equity structured products termsheets, script the payoffs within the...
Daily Settlement of IRS and Bond Trades Experience required: Treasury Settlements and payments Nostro reconciliations/ inter Investigations and compensation claims FX/MM confirmation matching Treasury risk management reporting Operational loss reporting Confirmation matching Systems: CARS TRAM Devon Euclid Bloomberg