strategies , Trading infrastructure development and research infrastructure development, Execution management systems and order flow optimization, Senior development experience, in Python/C++ with TDD. FX execution experience is an advantage. Please apply with a short description of your experience in the above, and we will schedule an interview. more »
controls and documenting these within an organised control inventory Must haves: Worked within at least two of the following areas of financial services: Derivatives, FX, Trade Control (Settlements/Clearing/Trade Support), and Finance (Treasury). Experience in a 1st line risk role, 2nd line risk role, or internal more »
The best fitted candidate will likely have the following qualities: Proficiency with FIX protocol implementation. Exposure to multiple asset classes (a preference would be FX). Technical experience with scripting languages such as Python or Powershell. Ability to work under pressure and maintain a good level of communication. SQL, Linux more »
Manchester, North West, United Kingdom Hybrid / WFH Options
SF Recruitment (Manchester)
well as monitoring daily cash positions and forecast short-term cash flows to ensure efficient liquidity management and management of daily money market and FX dealing. This role will suit a candidate who has experience in all aspects of the above named treasury responsibilities who is looking to continue developing more »
of current and next-gen art pipelines and techniques in game development • Excellent knowledge in Maya and Substance Designer and Painter • Familiarity with visual FX, lighting, materials, and post effects • Experience with HLSL shader creation and PBR material workflow • Extensive knowledge of Unity, Unreal Tech, this includes applications such as more »
developing and implementing treasury strategies, overseeing cash management operations, and ensuring compliance with regulatory requirements. Key Responsibilities: Treasury operations; prepare, review & authorise daily settlements & FX trades. Undertake complex scenario modelling to anticipate settlement inflows/outflows and plan effectively. Design & automate financial control & bank reconciliation processes and ensure end-to more »
Role: Candidate will help with the system-wide design and build out of a quantitative futures and FX portfolio focused on high and mid-frequency signals and strategies. An ideal candidate would possess a passion for technology, creativity, a desire to take ownership of their work, and the ability to more »
Science, Information Technology, or related field. Minimum 4 years of experience in operations or infrastructure management within the FinTech industry, preferably with exposure to FX trading platforms. Proficiency in FIX protocol implementation within financial markets. Strong understanding of technical infrastructure components, network protocols, and trading environments. Experience with operating systems more »
role within the organisation's Information Security team. Our client, recognized as a leader in algorithmic trading, operates globally with a focus on Equity, FX, Fixed Income, Commodity & Options markets. They are committed to maintaining the highest standards of security across our physical and IT infrastructure. As a member of more »
internal and financial controls and processes. Assisting with the monthly Management Accounts preparation and presentation, including AP/AR reporting, expenditure analysis and investigation, FX reconciliations and reporting. Developments of new reports using Excel, Power BI and SAP Delivering training in elements of SAP Business ByDesign Answering queries related to more »
Quantitative Finance, or a related technical field. Experience writing code to analyse large sets of data. Previous experience electronic trading specifically within Crypto/FX/Futures Strong software development skills, particularly in Python and C++ Familiarity with all aspects of the cryptocurrency markets and blockchain technology. This is a more »
with project proposals as required. Provide assistance to the risk management team with sundry financial analysis when required and to support the execution of FX and interest rate risk management transactions for clients. Be a participant in the continued development and growth of the company. You will need: Minimum of more »
preserving long term objectives and regular schedule review. Preferred Qualifications and Experience Strong experience with validating pricing models. Advanced modelling experience with either XVA, FX, rates, credit or commodities and a good highl evel cross asset class product knowledge are required. In depth knowledge of pricing models, stochastic calculus, stochastic more »
BCM, automated payment runs, In-house cash, instruments like Bonds, Commercial papers, Credit line facilities Experience in implementing other treasury technology solutions (e.g. Netting, FX rate upload, other Banking Hub technology, SharePoint, RPA) is a plus SAP Finance and integration with PTP Experience in FIS TRAX and Quantum is preferred more »
low latency FIX APIs Handling distribution of real-time market data to customers Handling order instructions across a variety of asset classes including CFD, FX, cash equity, and a wide variety of order types including algorithmic and advanced order strategies Utilising Java with specialised low latency programming and optimisation techniques more »
London, England, United Kingdom Hybrid / WFH Options
Client Server
Architecture within an Azure environment? You could be progressing your career in a senior, hands-on role at a hugely successful, global FinTech/FX brokerage as they scale, whilst enjoying a range of perks and benefits including 30 days a year work from anywhere. As a Data Architect and more »
different levels (up to C-level) Experience in working with cross functional teams in multiple time zones Experience in regulatory engagement, submission, and examinations FX trading, settlement, or processes experience is a plus Knowledge of SDLC process and documentation across different SDLC phases Risk management knowledge is a plus Excellent more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »
management · External unsecured funding · Refinancing of internal business lines and SG group subsidiaries. Pricing of internal curves · Centralizing the excess cash optimization through the FX swap market for the SG Group · Management and steering of liquidity requirements (regulatory or internal) · Management of HQLA liquidity buffer · Management of intraday liquidity · Management more »
using cutting-edge tools. Calculate Net Asset Value (NAV) on a daily, weekly, and monthly basis. Reconcile final fund NAVs with fund administrators. Monitor foreignexchange exposures and advise on currency hedging. Review and reconcile records with custodians and prime brokers. Provide ad-hoc reports and analysis to more »
orderly and efficient running of the Bank • To be a member of the Management Committee which monitors all activities and liquidity interest rates and foreignexchange business and ensure FCA, Bank of England and Head Office requirements are respected. • To ensure Operations – Banking Business Compliance and Accountancy is more »
Bristol, England, United Kingdom Hybrid / WFH Options
Jefferson Wells
Monte-Carlo simulation techniques and application of appropriate software tools (TacSys use Vose ModelRiskTM) Where to find and how to apply indices such as ForeignExchange (FOREX), VAT and Inflation. Appropriate and proportionate use of correlation in a cost model Three-Point Estimating (3PE) techniques Correct handling and more »
knowledge of transaction banking products and related services (cash management products e.g. digital channels/payments/collections/liquidity management/deposits/FX related business) Excellent communication skills both written and oral Good Excel & PowerPoint skills Fluency in Mandarin is ESSENTIAL more »