An outstanding opportunity has arisen for an Analyst - Portfolio Management Officer to join EMEA Financial Institutions Risk Management at Bank of America. As Analyst, Portfolio Management Officer you will be responsible for analysing all transaction risk in the portfolio including reputation, credit, market and operational risk as well as active management of the allocation of Bank of America's balance...
Höegh Capital Partners is a global private wealth management business with offices in London, NYC and Oslo. The company requires research analysts to join its London based alternative assets investment management team. HCP provides clients with comprehensive cross-asset class investment advisory services, with the alternative asset advisory business centred in London. The successful applicants will be given the opportunity to...
Front Office Credit and Equity Derivative Trading team of top-tier European Investment Bank require experienced Quant Analyst. You will have MSc, DEA or PhD in Mathematical discipline and knowledge for Credit or Equity pricing models. Client will consider hiring someone from Associate to VP level. Programming skills in Java or C++ ideal.
Global Financial Services Alternatives Market Opportunities PricewaterhouseCoopers LLP (PwC) provides industry-focused assurance, tax and advisory services for public and private clients. More than 140, 000 people in 149 countries connect their thinking, experience and solutions to build public trust and enhance value for clients and their stakeholders. You've dreamed of having the world at your feet but you are at a...
BLOOMBERG TRADEBOOK SALES REPRESENTATIVE CATEGORY: Sales LOCATION: LondonEXPERIENCE LEVEL: Experienced DESCRIPTION: Bloomberg Tradebook is a global agency broker selling a value proposition that requires a consultative sell and understanding of a client's trading process, OMS, risk mgmt and STP. We are looking for talented and motivated institutional brokerage sales candidates with proven sales experience in Equities, Futures, Options or FX...
Research Analyst / Due Diligence Professional Cornhill Asset Management, a dynamic and fast growing privately owned broking group, are looking to further strengthen our equity research team with an additional analyst. Cornhill Asset Management was established over 3 years ago and we are seeking to build upon our strong relationships with institutional and retail investors to grow further the corporate...
Global / Global Emerging Markets Equity Fund Managers to run own funds London Highly successful global equity/equity-linked long-only absolute return fund manager with in excess of $3billion assets under management seeks one or two fund managers to manage their own funds under our umbrella. We are looking for top quality, experienced fund managers with a proven outstanding stock picking track...
Old Mutual Asset Managers (UK) is a rapidly growing, specialist investment manager, focused on high performance and absolute return products, including hedge funds, unit trusts, structured products and multi-asset managed funds. The company employs a boutique style to investment, allowing each of our investment teams the freedom to focus on their portfolios employing their own proven approach. Old Mutual Asset...
US Investment Bank seeks Senior quantitative Analyst to join established quantitative research team. This firm has a strong reputation for rigorous and detailed research and innovative products for investment clients. Role involves developing multi-factor models using in-house databases and proprietary software as well as external data sources. Position requires highly developed quantitative analytical skills coupled with the ability to write...
A large investment bank require an experienced business support analyst with strong GLwin or GL Certification, SQL, Unix, strong Equities business knowledge with support experience in a trading environment. The successful candidate will develop key application expertise on order management, exchange connectivity, trader support and algorithmic trading.
Fantastic opportunity to join a large house managing a small team who perform the day-to-day risk management of the equity and equity derivative (futures and options) business. The individual will also be involved in the new product development process and the consideration of the risk management aspects of potential new cleared products. To be considered for this role you must...
THE COMPANY: A once in a lifetime opportunity is currently available at an exceptionally strong equity long/short climate change/renewable energy focused hedge fund. With leading people in this field setting up the fund and all of the operations and infrastructure they are ready to go live as soon as the right Portfolio Manager is on board. THE ROLE: Your daily...
Senior Quants Analyst - Associate Director £85000 - 110, 000 London Who they are The Company is the London based capital markets subsidiary of a leading global bank, and is itself a UK licensed bank. The product range is diverse, the atmosphere highly cosmopolitan and there exists a work life balance. The Company possesses a diverse mix of fixed income and...
US Investment Bank is looking for an experienced quantitative analyst to join a large established team. The role involves analysis of equity financial markets and would include, for example, measuring the effectiveness of risk models, studies of price momentum etc. The team has an excellent reputation for high quality research and analytical work and is known for the rigour and...
Working in partnership with our client, the asset management arm of a bulge bracket US investment bank, we are searching for a Fund Administration Executive with a broad range of relevant fund accounting and administration skills. Candidates for consideration will have a detailed understanding of fund accounting and fund administration for European fund structures domiciled in Luxembourg, and Ireland. Experience...