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Global Banking & Markets, Portfolio Analytics Strat, Equities Derivatives, VP, London

Posted 4 hours 34 minutes ago by NCAA (National Collegiate Athletic Association)

Permanent
Not Specified
Other
London, United Kingdom
Job Description
MORE ABOUT THIS JOB
Please note division and function examples are representative of opportunities common for this skill-set. The list is not exhaustive, and availability of open roles is determined based on business need. Specific roles will be confirmed through the interview process.
RESPONSIBILITIES
Our quantitative strategists are at the cutting edge of our business, solving real-world problems through a variety of analytical methods. Working in close collaboration with bankers, traders and portfolio managers across the firm, their invaluable quantitative perspectives on complex financial and technical challenges power our business decisions.
As a member of our team, you will use your advanced training in mathematics, programming and logical thinking to deliver quantitative solutions that drive our success in global financial markets. Your talents for research, analysis and aptitude for innovation will enable you to contribute to a broad range of problems, in a dynamic, fast-paced environment.
DIVISIONS AND JOB FUNCTIONS
Portfolio Analytics Strat within Global Banking & Markets.
  1. A front office role working directly with our Equities Global Structured Products trading desks.
  2. Development of our intraday risk calculation capabilities.
  3. Liaising with the broader Strat community to solve problems pertaining to intraday risk management.
BASIC QUALIFICATIONS
  1. Up to 5 years of professional experience within the financial services industry
  2. Professional experience in a trading floor environment is preferable
  3. Bachelor's or Master's in applicable field e.g. computer science, mathematics, physics, engineering, computational finance, quantitative finance
  4. Strong programming skills in a general purpose language, e.g. Python, C++, Java, Scala.
  5. Mathematical finance knowledge is preferable
  6. Highly organized with exceptional attention to detail and follow-through
  7. Strong ability to manage multiple projects with competing deadlines
  8. Team player with positive attitude and strong work ethic
  9. Strong communication skills (written and verbal)
  10. Ability to work in a fast-paced environment
  11. Strong interest in the financial markets and good investment sense/commercial instinct
  12. Excellent verbal and written communication skills
  13. Commercially aware with the ability to exercise discretion with respect to confidential information
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