Java Developer - Financial Markets - derivatives - Fixed Income - fx - equities - Spring, threading (full-time)

London, UK

£ Up to 70,000 + package. Dependant on exp

Java Developer - Financial Markets - derivatives - Fixed Income - FX - equities - risk - LONDON - permanent

We are urgently looking for four really strong Java developers with excellent experience in dealing with Front Office or Middle Office users.
 
You must be a genuinely strong Java developer with a good knowledge of derivatives, Fixed Income, FX, equities or risk (market risk or credit risk)
 
As part of the process there will be a Java test
 
The role itself will give you extensive exposure to working on both long term strategic projects as well as shorter term fast paced enhancements. As part of the role there will also be day day-to-day handling of BAU issues on the system, testing and UAT of new releases and an element of support.
 
It is essential that you have strong Java and at least 2 years experience within financial markets (ideally 4-10 years)

Any experience with Murex, Calypso, Sophis, Wallstreet or similar trading system would be advantageous
 
You must have the ability to work under pressure and to tight deadlines and you should also have a hunger for knowledge as training and development is key to the company's success.
 
Please send your CV and we will respond instantly to those meeting the above criteria.
 
SUMMARY:
 
Java Developer - Financial Markets - derivatives - Fixed Income - FX - equities - risk - LONDON - permanent

We are urgently looking for four really strong Java developers with excellent experience in dealing with Front Office or Middle Office users.
 
You must be a genuinely strong Java developer with a good knowledge of derivatives, Fixed Income, FX, equities or risk (market risk or credit risk)
 
Java - Core Java, multi-threading - Server Side Java

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