EQUITY DERIVATIVES DOCUMENTATION - OPERATIONS The Derivatives Consulting Group (DCG) is a global independent advisory firm for all capital market participants who use derivatives. The company was established in 2003. DCG, together with its subsidiary, The Derivatives Consulting Group LLC in New York, provides services to a large number of leading investment and commercial banks, hedge funds, asset managers and...
The Company BLOOMBERG TRADEBOOK is a global electronic agency brokerage used by institutional investors to trade in the Equity, FX, Futures and Options markets. Established in 1996, BLOOMBERG TRADEBOOK, provides clients with the innovative trading tools to help them seek better executions. It offers an anonymous trading platform that includes specialized trading and straight-through processing tools, as well as BLOOMBERG...
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...
An important player in the Fund Management market is seeking a Head of Product Control and Performance due to extensive growth in the year to date. With over £28bn in AUM, my client is looking for a high quality candidate with in-depth knowledge of hedge funds and products, particularly derivatives who may be a product control manager in an investment...
Head of Trading Market Risk Management - EQD - Paris ! Head of EQD Trading Market Risk Management The role is trading floor based and requires the individual to work closely with the business in a fast-paced and environment. There is significant exposure to senior management in the Front Office and within the Risk Department. The scope exists for responsibilities...
One of the world's top investment banks is looking for an associate-level candidate to join their Credit Markets team in an EMEA Credit Trading Middle Office role. The successful individual will be responsible for producing, preparing, and reporting the daily P&L and risk management information as well as reviewing with the front office to obtain sign-off or to respond to...
My constantly evolving Client, is a leading banking partner to major corporates and financial institutions around the world. They provide a full range of debt financing, risk management and investment services and are looking for an intelligent Accountant to join their bespoke Structured Finance Internal Audit team. You will work in an organisation that understands the value added by the...
IED Collateral Manager This leading US firm is recruiting for a senior team member within their PB OTC Collateral team There is currently a position available for a strong individual at the senior associate / manager level, within the collateral management team. The team's primary business focus is the margining of Institutional and Hedge Fund Equity clients primarily under the...
This leading Investment Management company has an Equities business that manages approximately £70bn. These assets are managed for a wide range of clients (life, pension, retail) across a number of different mandates. The role of the equities performance and risk team is to provide analysis on these funds under management which assists the investment managers in the investment process, provides...
Our client is a leading private investment with a strong focus on Eastern Europe and emerging markets. It has the strongest market position in each of its core business areas - equity capital markets, investment banking and debt capital markets. The company is part of a group of finance and investment companies specializing in high-opportunity emerging markets. It consists of...
Departmental Overview: Product control is responsible for market data used for MTM and valuation purposes and responsible for ensuring all P&L's are fully explainable via risk parameter attribution and have indirect responsibility for accurate risk reporting. In addition Product control is responsible for ensuring the correct controls and processes are in place to manage new and existing products and businesses....
Our client, a leading provider of global indices, benchmark related products and services, is seeking an Equity Model Researcher at Vice President level. The individual will be tasked with building and maintaining multifactor risk models, primarily focusing on equity models, which are used by a high percentage of investment management firms worldwide. You will be required to write, test and...
Are you a graduate level candidate with a strong mathematical ability? This opportunity offers excellent career prospects within risk management, trading and structuring. Working within a well regarded market risk team, focussing on equity derivative products (both vanilla and exotic), you will develop expertise within this area. Working closely with the trading floor, your role will be to analyse and...
A leading European investment bank has a great opportunity on the trade floor as a Market Risk manager within the equity derivatives field. The successful candidate will be working on the trade floor, dealing with cutting edge Equity Derivative products, assessing new products, looking at trades on a one-off basis and managing the risk and limits on the trading P&L....
Work close to the business in this exciting Front Office role. This is a hands-on in-business rapid development and engineering role to meet both tactical and strategic analytical needs of the European Equity Derivatives businesses. Located directly on the desk, in close proximity to Quants and Traders, the trading analytics team will deliver volatility, trading and risk management tools. You...
Leading Financial Institution based in the City wish to recruit an individual to join the busy OTC Derivatives team that provide operational support to the Capital Markets desk. The primary focus will be executing all operational functions relative to OTC and Exchange Traded Derivative activity including Interest Rate Swaps, Credit Default Swaps, Equity Linked Notes, Swaptions and Commodity derivatives. Particular...
Our client a top tier US investment bank seeks a Model Review Analyst to join the Model Review Group. Part of Risk Management's Global Quantitative Unit the Model Review Group is a global team which validates and documents all in-house trading models across all divisions (equities and fixed income) and covering all geographical locations as well as assisting in market...
Quant Developer at senior level is required by a top tier investment bank to work in their front office of the exotic equities desk. This position is based in London but my client has offices across the globe and you will therefore be expected to travel when required. This position has been created due to a need to provide direction...
Our Client a top tier US Investment Bank seeks an experienced risk manager to join the Equity Division Market Risk Team. Based in London and directly report to Head of European Equity Market Risk, the team is responsible for monitoring and reporting on the positions across all of the European Equity Division, covering Cash Equities, Convertible Bonds and Equity Derivatives...
Trading floor based role, covering mainly credit derivatives, allowing you to develop understanding of the markets and trading strategies, and to get closer to the business. This team has an outstanding reputation within the industry and within the bank, which is a strong European name. They have a strong track record of moving people into trading or structuring roles. This...
Global top tier investment bank is looking for a manager/associate director to form part of the structured traded products FO team. This exclusive opportunity is offering candidates extensive interaction with the FO to develop risking/margining infrastructure.Progression to the FO is actively encouraged for candidates of the right calibre. The role is responsible for risking, limit reporting and excess reporting for...
A global universal bank that provides advisory, trading and risk management services is looking for a individual to manage both the Trade Support, Product Control and Financial Control functions in the Equity Financial Products Prime Brokerage Middle Office Group. Your duties will include:-Managing key front office, regional, other MO and operational relationships.-Ensuring the structure and growth of the team is...
Our client, a renowned brokerage based in London seeks a senior risk manager to work in the front office alongside the traders, managing an across asset portfolio. Join a 6 strong team (including 2 managers and 2 associates) and work within a fast paced environment, gaining exposure across asset classes and with daily interaction with the traders. Due to recent...
Working in a Risk Management team of seven you will be responsible for analyzing and monitoring the risk arising in the businesses covered by the team. The role will require assisting management in the determination of risk appetite, limits and capital allocation using a structured methodology. This will involve reviewing transactions from a variety of asset classes including exchange traded...
Our client a top tier US Investment Bank seeks an experienced Operational Risk Manager for to cover the Securities Services business based in Cape Town. The Securities Services division is a global industry leader with $13.9 trillion in assets under custody. The provide innovative custody, fund accounting and administration and securities services to the world's largest institutional investors, alternative asset...
Quantitative Analyst Equity: Our client is one of the top tier investment bank specialised in capital and risk management. Your Job As a Quantitative Analyst, you will provide quantitative services to the Global Equities Team located in Frankfurt. Your main tasks will involve contributing to the investment process by effective use of quantitative tools and to lead the development of...
C++ Dev. Equities. Strategies. London. Tier 1 Inv Bank. C++ OOD One of the leading investment banks in the world is looking for a number of strong object orientated software developers to work as part of their core technology team in the area of FICC and Equities. You will be focused on risk management solutions aswell as designing and implementing...
Our Client a top tier US Investment Bank seeks a risk analyst to join the Equity Division Market Risk Team. Based in London and reporting to Head of European Equity Market Risk, the team is responsible for monitoring and reporting on the positions across all of the European Equity Division, covering Cash Equities, Convertible Bonds and Equity Derivatives including flow, ...
Leading Asset Manager is looking to add to their highly performing Risk team. The successful candidate will have substantial exposure to a number of business areas, including Front office, and as such applicants should be pro-active and articulate. You will assist in the development and implementation of group strategies for the control of business risks. Establish and maintain suitable infrastructure...
A fantastic opportunity has arisen for a qualified ACA (Top 4) to become a Risk Manager in a leading financial institution. Based on the trading floor in this fast paced, unpredictable and challenging environment, you will be responsible for analyzing and monitoring the risk arising in the businesses covered by the team. This will involve reviewing transactions from a variety...