EQUITY QUANT MODEL RISK jobs in ENGLAND, United Kingdom

markets and a good reputation for state of the art technology, now seeks to hire an experienced Quant Analyst to cover Equity... management of exotic equity products Deliver model documentation and testing material Improve and maintain existing analytics...

Millar Associates

prospects. About the Role The role of the Quant is to combine in-depth business knowledge, strong analytical skills... PPAs. Pricing of exotic options for power and gas, in particular storage options and CSS Options. Valuation of risk...

Engie

cap/floors, Baskets, Equity, C++, C# This global investment bank, seeks to hire a VP Quant Analyst to join a small Front... of Exotic Derivatives and Hybrids and building Front Office tools & applications and developing the quant model library in C...

Millar Associates

& implementing models for FX, Equity, & Commodities and now have an opening for an experienced FX Options Quant (VP or Director... and explain models to the risk for mark to market and support the model risk team in their validation process. Implement models...

Millar Associates

with us to discuss in more detail. Purpose The Responsible Investment Manager (Quant) is responsible for developing and enhancing... into investment decision-making processes, asset allocation, and risk management frameworks. Quantitative modelling and analysis...

Just

Risk Management (MoRM) team provides independent oversight and governance of model analytics and their implementation... into the risk architecture that drive valuation, risk and stress results. The algorithmic trading model validation team...

Deutsche Bank

, foreign exchange, equity and credit derivatives. - Good understanding of risk management and portfolio valuation techniques..., is a specialist who performs a variety of highly technical tasks pertaining to the valuation (including xVAs) and risk management...

European Bank for Reconstruction and Development

exchange, equity and credit derivatives. Good understanding of risk management and portfolio valuation techniques (e.g..., is a specialist who performs a variety of highly technical tasks pertaining to the valuation (including xVAs) and risk management...

European Bank for Reconstruction and Development

The world's largest asset class, debt, operates with the worst data. Technology has revolutionized equity markets... with electronic trading, quant algos and instantaneous news. However, in debt capital markets, the picture is completely different. It...

9fin

for global Equity Derivatives business. o Migrating Excel-based pricing / param / risk management tools onto service-based Web... will be able to rapidly learn in-depth knowledge and gain experience of Equity Derivatives trading / risk management...

UBS