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The Market Risk team covers capital, derivatives, and liquidity, plus broader asset/liability (ALM) initiatives. The individual will focus on derivatives portfolio reporting, model maintenance and financial dashboard development, as well as ad hoc projects as Guardian continues to expand its risk management capabilities.
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The Head of Liquidity Methodology leads the development and enhancement of the liquidity risk framework for the TD consolidated US operations which includes liquidity modeling associated with all the products of the balance sheet such as deposits, derivatives, loans and commitments, prime brokerage, and wholesale funding.
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We would like to speak with candidates who have exposure to a variety of asset classes including, FX, Equities, Fixed income RV, Statistical Arbitrage, Macro RV, Futures, and related derivatives in the Global Market place.
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The ED will work closely with client relationship managers and other products (derivatives, DCM, debt advisory, loan syndicate, ESG advisory, etc.) Companies involved in the green economy (clean power, environmental solutions, power transmission & distribution, EV and EV charging, Agribusiness, Clean Tech, and Energy Efficiency.
$200,000 - $260,000 a yearFull-timeExpandApply NowActive JobUpdated 2 days ago - UpvoteDownvoteShare Job
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Corporate Derivatives Quant Analytics - Strat The Goldman Sachs Group, Inc. is a leading global financial services firm providing investment banking, securities and investment management services to a substantial and diversified client base that includes corporations, financial institutions, governments and high-net-worth individuals.
$150,000 - $250,000Full-timeExpandApply NowActive JobUpdated 2 days ago - UpvoteDownvoteShare Job
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Strong understanding of a broad range of financial instruments/asset classes in particular treasuries, MBS, ABS, loans, cleared derivatives and structured products. Strong understanding of a broad range of financial instruments/asset classes in particular treasuries, MBS, ABS, loans, cleared derivatives and structured products.
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This role is within the Equity Structured Products Trading department, which is a sub-department of ESTAR, and specializes in providing a range of systems which perform pre-trade and post-trade pricing and workflow, lifecycle management, secondary trading and manual trade entry for equity over the counter (OTC) and listed derivatives, and securitised structured products.
$100,000 - $150,000 a yearFull-timeExpandUpdated 22 days ago - UpvoteDownvoteShare Job
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Of financial services experience and a strong understanding of Bank Debt, Real Estate, Fixed Income, Derivatives, FX, and Equity/Option products. Our client, a $100bn+ alternative asset manager in Midtown, NY, is looking for an experienced Middle Office Operations Associate to join their team.
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Your familiarity with bespoke derivatives term sheets, and the industry standard valuation models and "street practices" used for security valuation and portfolio risk analysis will allow you to successfully contribute to the team.
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Software engineering experience on a trading desk dealing in ETFs or similar delta-one derivatives e.g. index futures or index total return swaps (TRS) At HRT we’re friends and colleagues – whether we are sharing a meal, playing the latest board game, or writing elegant code.
$125,000 - $175,000 a yearFull-timeExpandApply NowActive JobUpdated 8 days ago - UpvoteDownvoteShare Job
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Preferred Qualifications:Quantitative skills in the areas of structured finance, credit derivatives, default and recovery modeling, and / or credit risk management. Full-time relevant work experience in credit analysis of debt / capital markets, credit analysis / research, quantitative finance, model development or validation.
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The FIC&T Trade Support team will cover the following activities: Foreign Exchange and provide back up as required for Interest Rate Derivatives, Commodities, Treasury and Credit Trading. The FIC&T Trade Support team will cover the following activities: Foreign Exchange and provide back up as required for Interest Rate Derivatives, Commodities, Treasury and Credit Trading.
ExpandApply NowActive JobUpdated 11 days ago - UpvoteDownvoteShare Job
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Help with managing risk on trading desk positions: MBS, MBS TBA, CMOs, CMO Derivatives (IO/IIOs), Swaps, Swaptions, Treasuries, Treasury Futures, Options, etc. #bmocapitalmarketsReporting directly to the Managing Director & Head of Agency CMOs, the Director is expected to price, trade, and manage risk on both new issue and secondary CMO derivatives (Interest-Only securities.
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As a Valuation Control Analyst, you'll be at the forefront of ensuring the accuracy and integrity of our financial reporting infrastructure across a diverse range of products including Municipal bonds, Securitizations, TRSwaps, Muni Credit Derivatives, and IR Derivatives.
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Day-to-Day trade support for the Equities Derivatives/Commodities trading desk, closely interacting with traders executing and risk managing complex derivative products. This is a mid-level engineer Full-time position supporting an Equity Derivatives & Commodities Futures Trading desk.
$150,000 - $200,000 a yearFull-timeExpandApply NowActive JobUpdated 2 days ago
derivatives job in New York, NY
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