Overview
In this role you will support the London fixed income trading desks and related OTC activities, operating in a fast, tech-driven environment that runs globally around the clock. You’ll enable efficient execution, accurate trade capture, and reliable risk and treasury tooling to back alpha generation. You will work with a highly technical team on the bleeding edge of trading infrastructure. This is a chance to shape operational excellence in a premier quant firm.
Responsibilities
- Operational support for the firm’s Fixed Income Trading desks and OTC products
- Trade capture across futures, bonds, repos, rates, exotics, FX and related equities
- Trade and position reconciliation with clearers and prime brokers
- Daily P&L calculation
- Support of inventory, treasury, and risk management systems for the desk
Key requirements
- At least 2 years of Trading Operations or Settlements experience
- Experience with interest rates, swaps, futures, options
- Strong Fixed Income knowledge
- SQL, VBA
- Background in European equities; exposure to prop trading, hedge funds, or buy-side preferred
- Experience with daily reconciliations and exchange settlement
- team-oriented
- detail-oriented
- problem-solving
- SQL
- VBA
- Python
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