Single Name Credit Derivatives Trader
US investment bank is seeking to hire an established singel name proprietary trader to cover capital structure and convertible bond artbirage as well as credit derivatives proprietary trading in London. You will be educated from a leading University and ideally possess a secondary degree in Mathematics or Finance. This mature proprietary business will provide you with the responsibility for large, long term large position taking and are committed to providing the traders with a generous direct percentage take on your book.You will have a proven track record analysing credit names from a fundamental valuation perspective and be very comfortable with credit analysis. It is important that you adopt a thorough investment process identifying and analysing from a quantitative nature the risks effecting valuation and bring to the table an overlay of proven proprietary position taking. You will work in collaboration with structured credit traders trading high yield and investment grade book for a first tier investment bank renowned for aggressive risk taking and commitment to proprietary trading. You will be provided with pre-existing historical databases for assessing spreads and taking views of curves but you will need to bring to the table a unique perspective for both hedging strategies and optimising book performance in order to generate large returns covering Euro and US names. In return, you will be given large amounts of dedicated capital and leverage of a strong legal and research platform providing one of the best sell side proprietary opportunities on the street. It is essential that your trading style reflects a long term and thorough investment process to match the aims of the Bank in building a sustainable and highly profitable proprietary platform.
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London |
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Managing Director- Strategic Account Management.
A leading provider of independent, benchmark quality data and services for financial firms globally is looking to hire a senior Strategic Account Manager for responsibility for their largest and most important clients in Europe. MD level position in a team of 4 seniors - enhancing relationship and structuring solutions for European Banks and Top20 Asset Manager and Hedgefund clients. This senior role will identify new business opportunities; maintain relationships, lead development of account management structure, participate in specific project teams towards launching new products. You will have a broad based experience in an investment bank at a senior level with exposure to managing complex relationships and processes. Origination or senior sales experience beneficial. You will also have experience in Capital Markets and OTC derivatives and/or structured credit as well as having strong written and verbal communication skills. This is a fantastic opportunity for someone to move away from syndication or origination in to a fast growing, dynamic company that is benefiting rather than suffering from the current banking climate. Significant stock interest in the UK fastest growing Private company currently at 700+ employees.
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London |
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Property Derivatives
A leading European bank is looking for a property derivative structurer with relative and solid experience in fixed income structuring.
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London |
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Flow IRD Salesperson to UK Financial Institutions
Our client, a leading European Bank is looking to recruit a IRD flow sales person to work on their existing UK IRD sales desk.
Target client base- Building Societies, small banks and other UK Financial Institutions.
The successful candidate should have some sales experience and a broad understanding of the IRD product, an existing client base is not essential but may be seen as an advantage.
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London |
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Derivatives and Risk Solution Sales to French Corporates
Our client a major European bank is currently looking for a Senior (Director Level) multi-asset sales person to sell the banks products to French Corporates. This position can be based in London or Paris.
Requirements:
*Ability to work closely with the banks existing Corporate Client base.
*A multi-asset approach to business with an understanding of balance sheet management and risk hedging and solutions.
*A successful track record
*An existing client base.
The successful candidate will work in an efficient and flexible Risk Solutions Group with the ability to use all the management tools that the bank can provide.
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London/Paris |
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Senior Fixed Income Structured Product Sales to Financial Institutions
Our client is a large International Bank with a significant presence in South Africa
They are currently looking for Senior Structured Product Sales person working in a multi-asset environment (with the exclusion of Equity derivatives).
Ideally the successful candidate will have good contacts in the local market and have a strong technical ability in order to apply a solutions orientated approach to clients needs.
The bank has an excellent trading platform and product suite as well as an established franchise in South Africa.
This would ideally suite someone wishing to return to South Africa having spent some time abroad.
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Johannesburg |
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IRD and Hybrid Sales to Private Banks
Our client – a Global Investment Bank is currently looking for an established IRD sales person to expand their presence within the private banking community in Switzerland. The bank has a huge array of products, has a long established track record in Switzerland.
Please call to discuss further.
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Switzerland - Geneva |
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Structured Credit Proprietary Trader
First tier investment bank seeks a senior structured credit proprietary trader to initiate a European franchise. In collaboration with a senior single name credit trader in London, you will be responsible for setting up a large book covering bespoke and index tranches CPPI, CMDS, spread and tranche options, equity and inflation linked notes. This mature proprietary business will provide you with the responsibility for large, long term large position taking and are committed to providing the traders with a generous direct percentage take on your book. It is essential that you have a secondary engineering degree in either mathematics or financial discipline and have a proven track record as a senior correlation or options trader covering proprietary style trading, and ideally an attributed P&L of between $7m and $30m from a dedicated proprietary trading book. This unique position to join a renowned relative value proprietary trading business including 15 primary risk takers covering a diverse number of trading strategies will give you direct responsibility of creating a structured credit proprietary desk for the European market. It is therefore essential that you incorporate a well practised and thorough investment process, employ dynamic hedging and are able to build your desk strategy from scratch. In return, you will be given large amounts of dedicated capital and leverage of a strong legal and research platform providing one of the best sell side proprietary opportunities on the street. It is essential that your trading style reflects a long term and thorough investment process to match the aims of the Bank in building a sustainable and highly profitable proprietary platform.
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London |
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Emerging Markets Proprietary Trader
US investment bank with a renowned commitment to proprietary risk taking seeks an emerging markets fixed income and FX proprietary trader. This mature proprietary business will provide you with the responsibility for large, long term large position taking and are committed to providing the traders with a generous direct percentage take on your book. You will join an established internal RV debt, credit and FX Proprietary Business. You will be educated with a technical degree from a leading University and a proven P&L track record of between $7m to $25m covering either European or global emerging market FX and local and external debt markets. In collaboration with 4 London based primary risk managers and 10 in New York, you will introduce emerging markets trading to London, complimenting global macro, central bank policy and proprietary credit risk taking for a global platform. It is therefore essential that you are qualified in generating and communicating EM trading strategies using both fundamental and quantitative techniques. Furthermore, an experience of portfolio optimisation modelling and creating innovative relative value ideas for a proprietary business comfortable with large risk positions is favourable. Product coverage should cover core risk allocation decisions for global bonds and FX/Emerging debt and ideally you will have a view on FX/US corporate debt/cash. In return you will be given large amounts of dedicated capital and leverage of a strong legal and research platform providing one of the best sell side proprietary opportunities for emerging market debt trading on the street. It is essential that your trading style reflects a long term and thorough investment process to match the aims of the Bank in building a sustainable and highly profitable proprietary platform.
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London |
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Senior Credit Derivatives Correlation Trader
Top three structured credit house seeks an established credit derivatives correlation trader to risk manage one of the most sophisticated customer led correlation desks on the street. Educated with MSc or PhD from a leading University in mathematics, financial engineering or technical science. You will risk manage and product develop bespoke and index tranches (float, fixed, CMDS and inflation linked notes), CDO square, CPPI, CMDS and spread option positions in one of the most technically advanced credit desks. In return, you will be highly remunerated and originate market making positions in a proprietary style from customer flows.
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London |
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Credit Derivatives Strategist
European Investment Bank with a leading reputation in the structured credit market seeks a Credit Vol Strategist to cover the UK and Northern Europe. You will be part of a strong European Strategy team and responsible for the development of quantitative and econometric models model for asset allocation, credit names selection and ccontinued development of new alpha-generating strategies, including issuer-level and macro/index level systems as well as debt-equity / capital structure arbitrage type models. Ideally adopt a quantitative approach to credit strategy, have in-depth sector knowledge, excellent marketing skills and a creative and proactive approach to the business. In this marketing focused role you will take responsibility for a geographic area within Europe, contribute to the strategy publications propose models and market the business internally and externally. Excellent opportunity to gain greater proprietary / risk neutral trading strategy knowledge across a very profitable business. Credit Risk, econometric/ vol / arb trading / structuring and strategy back grounds considered.
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London |
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Head of the Performance Measurement and Attribution
Join the investment office of a leading wealth management group as the head of Performance Measurement and Risk Attribution of a £90 Bil AUM business. Highly visible role creating performance management and risk measurement platform for multi fund investment programme. Additional responsibility for assessing investor experience. You will have considerable experience across structured products and proven track record for delivering a performance measurement environment for a tier one fund manager or custody business.
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London |
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Data Strategy Manager
Leading global wealth management business are seeking to hire a senior strategist to manage internal and external PR and critical data flow. Situated in a highly visible role for the CEO strategy office you will play a critical role in creating internal and external relationships with leading market surveys and benchmarks analysis. You will be responsible for delivering detailed research specific to the wealth market, maintain the portrayal of the business in a positive light and finally regulate PR data across the Wealth group. Previous Wealth knowledge essential and ideally experience of benchmark surveys and corporate communications.
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London |
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Credit Derivatives Structurer
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London |
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Senior Credit Derivatives Structurer
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London |
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