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  • England
  • Negotiable
    • Permanent
  • 06 Mar 2020

We are looking for a Head of Delta 1 Traidng/Senior Quant Trader to join our Systematic Trading (High Frequency) team within the Delta One desk based in London.

Responsibilities

Develop new trading strategies by undertaking statistical analysis and modelling of signals.

Expand our electronic market making offering in delta one products.

Drive the Tech and Quant agenda that is necessary for this activity.

Build and maintain tools to improve our research and trading capabilities.

Skills & qualifications

Demonstrable experience in Delta 1 Trading

Deep understanding of statistics and equity markets

Strong equity market-making background

Proven track record in systematic trading

The ability to refine and enhance our execution platform

Good computing skills (R, Python, Java or C#)

  • England
  • Negotiable
    • Permanent
  • 06 Mar 2020

We are looking for a Head of Delta 1 Traidng/Senior Quant Trader to join our Systematic Trading (High Frequency) team within the Delta One desk based in London.

Responsibilities

Develop new trading strategies by undertaking statistical analysis and modelling of signals.

Expand our electronic market making offering in delta one products.

Drive the Tech and Quant agenda that is necessary for this activity.

Build and maintain tools to improve our research and trading capabilities.

Skills & qualifications

Demonstrable experience in Delta 1 Trading

Deep understanding of statistics and equity markets

Strong equity market-making background

Proven track record in systematic trading

The ability to refine and enhance our execution platform

Good computing skills (R, Python, Java or C#)

  • London, England
  • Negotiable
    • Permanent
  • 06 Mar 2020

An industry-leading, Proprietary Trading house are looking to hire a Systematic Commodities Trader/PM to join them at their offices in London. The company has a long track record of providing successful traders with a platform to be consistently profitable in a range of different Commodity markets, whilst being part of a collaborative, data-focused and tech-driven office.

Responsibilities

  • Complete ownership of the trading book with freedom to determine trading strategy.
  • Manage trading exposure/Risk, with high attention to detail.
  • Work collaboratively with other traders to discuss idea generation, signal research, market conditions and execution best practice.
  • Mentorship and guidance to less experienced colleagues.

Requirements

  • A highly analytical and quantitative skillset with a first-class university education.
  • A consistent, 2+ year, track record of returns on a Systematic Commodities Trading book, buy or sell-side.
  • Experience in a highly quantitative environment; fluency with all relevant models.
  • In-depth understanding of Big Data analysis, and the relevant techniques, and experience leveraging the latest technology to provide a trading edge.
  • Python/C++/R
  • London, England
  • Negotiable
    • Permanent
  • 06 Mar 2020

An industry-leading, Proprietary Trading house are looking to hire a Systematic Commodities Trader/PM to join them at their offices in London. The company has a long track record of providing successful traders with a platform to be consistently profitable in a range of different Commodity markets, whilst being part of a collaborative, data-focused and tech-driven office.

Responsibilities

  • Complete ownership of the trading book with freedom to determine trading strategy.
  • Manage trading exposure/Risk, with high attention to detail.
  • Work collaboratively with other traders to discuss idea generation, signal research, market conditions and execution best practice.
  • Mentorship and guidance to less experienced colleagues.

Requirements

  • A highly analytical and quantitative skillset with a first-class university education.
  • A consistent, 2+ year, track record of returns on a Systematic Commodities Trading book, buy or sell-side.
  • Experience in a highly quantitative environment; fluency with all relevant models.
  • In-depth understanding of Big Data analysis, and the relevant techniques, and experience leveraging the latest technology to provide a trading edge.
  • Python/C++/R
  • London, England
  • Negotiable
    • Permanent
  • 06 Mar 2020

Responsibilities Will Include

  • Research and implement key methods and technologies to facilitate the quantitative investment process of interest rates and emerging markets products.
  • Research cutting edge statistical and data models and implement machine learning techniques across the platform.
  • Develop a well rounded understanding of the interest rates and em market in order to drive and assist with strategy generation and implementation.
  • Work in close collaboration on a research based platform.

Key Skills

  • PhD/ Masters in a quantitative field (maths, statistics, engineering, physics, economics)
  • Strong coding experience (C++/ C#, python)
  • Experience with Fixed Income mathematical modelling
  • At least 1 year experience within a front office environment, all exp levels above this will be considered.
  • Experience working with large data sets and time series modelling is a plus.
  • Strong communication exp with trading.
  • London, England
  • Negotiable
    • Permanent
  • 06 Mar 2020

Responsibilities Will Include

  • Research and implement key methods and technologies to facilitate the quantitative investment process of interest rates and emerging markets products.
  • Research cutting edge statistical and data models and implement machine learning techniques across the platform.
  • Develop a well rounded understanding of the interest rates and em market in order to drive and assist with strategy generation and implementation.
  • Work in close collaboration on a research based platform.

Key Skills

  • PhD/ Masters in a quantitative field (maths, statistics, engineering, physics, economics)
  • Strong coding experience (C++/ C#, python)
  • Experience with Fixed Income mathematical modelling
  • At least 1 year experience within a front office environment, all exp levels above this will be considered.
  • Experience working with large data sets and time series modelling is a plus.
  • Strong communication exp with trading.
  • London, England
  • Negotiable
    • Permanent
  • 06 Mar 2020

Responsibilities

  • the creation and operation of financial models as well as performing valuation analyses
  • carrying out detailed financial analysis including sensitivity analyses & reporting
  • preparation of transaction materials including:
  • presentations and marketing materials; and
  • Research to support execution of transactions and internal management decisions
  • Co-ordinate lender and/or investor due diligence processes (including data-room management)
  • Supporting deal/transaction management including managing project plans and timelines
  • Supporting negotiation of transaction and/or financing documents

Skills and Abilities

  • Excellent initiative and self-driven
  • Good communication and interpersonal skills
  • Ability to work under tight deadlines
  • Attention to detail
  • Organised and have process management skills
  • Strong numerical and written skills
  • Have a basic understanding of the markets we operate in
  • Understanding of key market drivers, regulatory regimes and accounting standards

Qualifications

  • Bachelor's degree from a renowned university where you have consistently demonstrated top-tier performance
  • Post-graduate and or professional qualification in Finance such as CFA, MBA or similar
  • Up to 3 years-experience in a similar position in investment banking, a corporate, or a consultancy company
  • Proficient in Microsoft Office applications (Excel, PowerPoint, Word, Outlook, OneDrive)
  • Highly competent user of Excel (ability to use VBA advantageous) and able to build / operate financial models
  • London, England
  • Negotiable
    • Permanent
  • 06 Mar 2020

Responsibilities

  • the creation and operation of financial models as well as performing valuation analyses
  • carrying out detailed financial analysis including sensitivity analyses & reporting
  • preparation of transaction materials including:
  • presentations and marketing materials; and
  • Research to support execution of transactions and internal management decisions
  • Co-ordinate lender and/or investor due diligence processes (including data-room management)
  • Supporting deal/transaction management including managing project plans and timelines
  • Supporting negotiation of transaction and/or financing documents

Skills and Abilities

  • Excellent initiative and self-driven
  • Good communication and interpersonal skills
  • Ability to work under tight deadlines
  • Attention to detail
  • Organised and have process management skills
  • Strong numerical and written skills
  • Have a basic understanding of the markets we operate in
  • Understanding of key market drivers, regulatory regimes and accounting standards

Qualifications

  • Bachelor's degree from a renowned university where you have consistently demonstrated top-tier performance
  • Post-graduate and or professional qualification in Finance such as CFA, MBA or similar
  • Up to 3 years-experience in a similar position in investment banking, a corporate, or a consultancy company
  • Proficient in Microsoft Office applications (Excel, PowerPoint, Word, Outlook, OneDrive)
  • Highly competent user of Excel (ability to use VBA advantageous) and able to build / operate financial models
  • London, England
  • Negotiable
    • Permanent
  • 06 Mar 2020

Key responsibilities for the position of Credit Risk Model Validator:

  • Validate credit risk models in a multicultural environment that banks will use.
  • Work closely with Finance, Risk Management, IT and external regulators while using coding such as: Python, SQL, MATLAB or other statistical programming languages.
  • You will influence the dynamic of the team in a positive way
  • Submission of Model Validation in addressing concerns or question relating to the models.
  • Manage and complete the model validation from end to end, meeting the planned timelines and required standards

Key requirements:

  • +3 years of experience in working with data such as PD, LGD and EAD
  • Degree in a quantitative field (Mathematics, Economics, Physics, AI or similar)
  • Familiar with Python, SAS, R
  • Perform well under pressure, team player, manage time efficiently, flexible and adaptable
  • Any knowledge with machine learning would be a big plus
  • Understanding key regulatory / accounting requirements (IFRS 9, BASEL III - IV)

If you are interested in the position of Credit Risk Model Validator located in London, then this is a great option for you. We look forward to receiving your application.

  • London, England
  • Negotiable
    • Permanent
  • 06 Mar 2020

Key responsibilities for the position of Credit Risk Model Validator:

  • Validate credit risk models in a multicultural environment that banks will use.
  • Work closely with Finance, Risk Management, IT and external regulators while using coding such as: Python, SQL, MATLAB or other statistical programming languages.
  • You will influence the dynamic of the team in a positive way
  • Submission of Model Validation in addressing concerns or question relating to the models.
  • Manage and complete the model validation from end to end, meeting the planned timelines and required standards

Key requirements:

  • +3 years of experience in working with data such as PD, LGD and EAD
  • Degree in a quantitative field (Mathematics, Economics, Physics, AI or similar)
  • Familiar with Python, SAS, R
  • Perform well under pressure, team player, manage time efficiently, flexible and adaptable
  • Any knowledge with machine learning would be a big plus
  • Understanding key regulatory / accounting requirements (IFRS 9, BASEL III - IV)

If you are interested in the position of Credit Risk Model Validator located in London, then this is a great option for you. We look forward to receiving your application.