C# Developer - Derivatives, Fixed Income, FX, Equities or Market Risk or Credit Risk (full-time)

London, UK

£ per annum + package. The salary on offer is dependent on level of experience.

C# Developer - Financial Markets - derivatives - Fixed Income - FX - equities - risk - LONDON - permanent
 
We are urgently looking for two more really strong C# developers with excellent experience in dealing with Front Office or Middle Office users.
 
You must be a genuinely strong C# 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 C# test
 
 The role itself will give you extensive exposure to working on both long term strategic development projects across the project life cycle as well as shorter term fast paced enhancements.
 
It is essential that you have strong C# 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.
 
 Salary: £40,000 to £70,000 + package. The salary on offer is dependent on level of experience
 
 C# Developer - investment banking, derivatives, equities, FX, Market Risk, Credit Risk, UNIX, SQL, Capital Markets - London. The salary on offer is dependent on level of experience.
 
To be considered you must have between 4 and 10 years C# Server Side development experience:
 
C# development
Good knowledge of UNIX and SQL (ideally Sybase TSQL.)
Good knowledge of various asset classes OR Good knowledge of Risk (Credit and Market)
You will be working for one of the leading investment banking suppliers, where training and career development are of paramount importance.
 The roles are genuinely varied and encompass pure development, some BAU and of course some support around trading and risk management systems
For the more mid-senior roles you will be liaising with FO and MO as well as BAs in order to understand requirements and translate these into formal specs.
You should be happy to work in a fast paced and mission critical environment.
Flexibility to travel would be a major bonus but NOT essential
In addition to your technical expertise you should have a good knowledge of some financial instruments such derivatives, bonds, Equities, swaps, swaptions, exotics
 
C# Developer - Capital Markets, derivatives, equities, Market Risk or Credit Risk, London
 
 £40k - £70k + package The salary on offer is dependent on level of experience.
 
 To be considered you must have between 4 and 10 years C# development experience.
 
 Strong C#
Knowledge of UNIX and SQL (in particular Sybase TSQL.)
Knowledge of various asset classes or Knowledge of Risk (Credit and Market)
 
C# Developer - derivatives, equities, FX, swaps, Market Risk, Credit Risk, UNIX, SQL, Capital Markets - London
 
 MUST HOLD A EUROPEAN PASSPORT

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