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The ideal candidate will have extensive expertise in banking operations, Broker Dealer and Swap Dealer regulations (including the global impact of relevant U.S. regulations), compliance with regulations, and a deep understanding of front office sales and trading operations.
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Options Trader (Chicago)Eclipse Trading is one of Asia's leading proprietary derivatives trading firms. 3+ years of experience as an Options Trader in a proprietary trading firm or financial institutionProven track record of profitability and consistent trading performance in options markets.
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Understanding of capital adequacy, liquidity, and treasury as it pertains to energy trading organizations. You will be a thought leader leveraging your experience in mature and robust energy trading markets to shape our strategy, offerings, and delivery of operating model transformation for our clients.
$388,200 a yearFull-timeExpandApply NowActive JobUpdated 4 days ago - UpvoteDownvoteShare Job
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Extensive experience with supporting investment research, portfolio management and trading; good hands knowledge about market movement & sentiment analysis, portfolio optimization, security or factor-based investment strategy, cash flow analysis, or algorithmic trading.
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We are seeking a highly skilled Quantitative Trader to join our Stat-Arb Desk in New York City, where you will be responsible for developing and executing trading strategies centered around scheduled and ad-hoc index rebalancing events.
$225,000 a yearFull-timeExpandApply NowActive JobUpdated 1 month ago - UpvoteDownvoteShare Job
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The Compliance Director position is a senior role within the Wealth and Brokerage (W&B) Compliance team, responsible for providing compliance leadership and counsel on regulatory and compliance requirements related to the Fidelity Brokerage Services (FBS) broker-dealer.
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As our Quantitative Trader Intern, you’ll spend your summer in the heart of Optiver’s dynamic trading floor. As a Graduate Quantitative Researcher, you will develop, refine and implement algorithmic trading strategies that shape the future of electronic trading.
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Manage the team of attorneys supporting FX & Derivatives businesses, including Programmatic FX trading (such as custody FX services, automated FX trading, prime brokerage, electronic and algorithmic trading, and payments) and Swap Dealer and Securities-Based Swap Dealer businesses relating to FX, interest rate and equity derivative products.
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Participates on the Asset-Liability Committee (ALCO) in actively managing Monterra CU’s interest rate risk, proposing pricing on consumer loans and dealer reserve, managing net interest margin, and staying within Monterra CU’s interest rate and liquidity risk tolerances.
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Qualifications Bachelor's degree with 4+ years' work experience at a physical commodity trader or graduate degree with 2+ years of work experience in physical commodity trading. The Commodity Trading Service Line at McKinsey supports clients in commodity trading growth strategy, operating model design, enterprise risk management, operations transformations, and analytics transformations.
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Deep knowledge of electronic trading platforms in the Mutual Fund, FX and Fixed Income space with extensive experience of trade settlement. When owners and managers of institutional assets need research, trading, securities lending and innovative portfolio strategies, they turn to SSGM. As our investment research and trading arm, SSGM's number one goal is to enhance and preserve our clients' portfolio values by applying technology, optimizing trading, and linking asset classes and markets across the world.
$210,000 a yearFull-timeExpandApply NowActive JobUpdated 3 days ago - UpvoteDownvoteShare Job
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We provide investment servicing, data & analytics, investment research & trading and investment management to institutional clients. The specific product Fund Connect is State Street's market-leading global electronic trading platform for Money Market Funds, Primary Market ETFs, Liquidity Instruments and Investment Funds.
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The Vice President and Counsel will provide legal, regulatory and transactional support to our SEC and CFTC registered security-based swap dealer business and to our broker-dealer. Providing legal and regulatory advice to sales and trading personnel and to key functional support groups, including Credit, Documentation, Operations, Collateral Management and Compliance.
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The Automotive General Manager assumes responsibility and is accountable for customer retention and the profitability of each department in the dealership on behalf of the dealer. Extensive knowledge in dealer operations.
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Experience with Dodd-Frank Act, the Commodity Exchange Act, the Securities Act of 1933, relevant CFTC and SEC regulations and NFA rules is required; as well as experience with ISDA Master Agreements, CSAs, ISDA Protocols and other industry standard trading agreements.
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