15 Financial Trading jobs in the United Kingdom

Senior Quantitative Analyst - Financial Markets

CB2 1AA Cambridge, Eastern £75000 Annually WhatJobs

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full-time
An exceptional opportunity has arisen for a Senior Quantitative Analyst to join a leading financial institution located in **Cambridge, Cambridgeshire, UK**. This role is integral to the firm's success, focusing on the development and implementation of sophisticated quantitative models for trading strategies, risk management, and financial product pricing. The ideal candidate will possess a strong academic background in a quantitative discipline such as Mathematics, Physics, Statistics, or Computer Science, along with extensive experience in financial modelling. You will be responsible for designing, testing, and validating complex mathematical models, utilizing programming languages like Python, C++, or R. Your responsibilities will include collaborating closely with traders, portfolio managers, and risk managers to understand their needs and translate them into quantitative solutions. You will also be involved in researching new methodologies and technologies to enhance existing models and develop innovative approaches to financial analysis. A key aspect of this role is ensuring the robustness and accuracy of the models, including performance monitoring and back-testing. You will contribute to regulatory reporting and compliance, ensuring all models meet industry standards. Excellent problem-solving skills, a keen eye for detail, and the ability to communicate complex technical concepts to non-technical audiences are essential. The successful candidate will have a proven track record in quantitative finance, with at least 5 years of relevant industry experience. A Master's or PhD in a quantitative field is highly preferred. This position offers a stimulating work environment, challenging projects, and the chance to work alongside some of the brightest minds in finance. It is an on-site role requiring full commitment to the office.
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Senior Investment Analyst - Financial Markets

BD1 1 Bradford, Yorkshire and the Humber £60000 Annually WhatJobs

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full-time
Our client, a prominent financial institution, is looking for a dedicated Senior Investment Analyst to be based in our Bradford, West Yorkshire, UK office. This role is critical to our investment strategy and requires a thorough understanding of financial markets, economic trends, and portfolio management. You will be responsible for conducting in-depth research and analysis of investment opportunities across various asset classes, including equities, fixed income, and alternative investments. Your primary duties will involve developing financial models, performing valuation analyses, and generating insightful investment recommendations for portfolio managers and clients. You will also monitor market developments, identify risks and opportunities, and prepare comprehensive reports and presentations. The ideal candidate will possess strong quantitative and analytical skills, with a proven ability to interpret complex financial data and market information. Proficiency in financial modeling software (e.g., Excel, Bloomberg Terminal) and a solid understanding of investment principles are essential. A relevant professional qualification such as CFA or equivalent is highly desirable. You will work closely with senior management and investment teams, contributing to strategic decision-making and portfolio construction. Excellent communication skills are required to articulate complex financial concepts clearly to diverse audiences. We are seeking an individual with a keen eye for detail, a commitment to accuracy, and a proactive approach to identifying potential investment avenues. This role offers a significant opportunity to impact investment performance and grow within a respected financial firm. You will be part of a collaborative team environment, contributing to the success of our investment funds and client portfolios. We value individuals who are driven, analytical, and passionate about the financial industry, aiming to deliver exceptional performance and client service. Your analytical acumen will be key to uncovering promising investment opportunities.
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Senior Quantitative Analyst - Financial Markets

SO14 0AA Southampton, South East £80000 Annually WhatJobs

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full-time
Our client is seeking a highly analytical and experienced Senior Quantitative Analyst to join their dynamic remote-first team. This position is crucial for developing and implementing sophisticated financial models, pricing derivatives, and managing risk across various asset classes. As a remote employee, you will leverage cutting-edge technology and collaborate closely with traders, portfolio managers, and risk officers through virtual platforms. Your responsibilities will include designing, testing, and deploying quantitative trading strategies, conducting rigorous back-testing and performance analysis, and contributing to the ongoing improvement of our proprietary trading systems. You will also be involved in explaining complex financial concepts and model outputs to stakeholders with varying levels of quantitative understanding. Essential qualifications include a Master's or Ph.D. in a quantitative field such as Mathematics, Physics, Statistics, Computer Science, or Financial Engineering. Proven experience in a similar quantitative role within investment banking, hedge funds, or asset management is required, with a strong emphasis on derivatives pricing and risk management. Proficiency in programming languages like Python, C++, or R is mandatory. Excellent communication skills are essential for this remote role, enabling effective collaboration within a distributed team. You should have a deep understanding of financial markets, financial instruments, and regulatory requirements. The ability to work independently, manage multiple projects simultaneously, and adapt to a fast-paced, evolving market environment is key to success. We are looking for individuals who are passionate about quantitative finance and eager to make a significant impact in a fully remote setting. This role offers a unique opportunity to work on challenging problems with a talented international team, driving innovation in financial analytics and strategy.
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Senior Quantitative Analyst - Financial Markets

SR1 2AE Sunderland, North East £70000 annum + bon WhatJobs

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full-time
Job Description: Our client, a leading international banking and financial services firm, is seeking a highly analytical and skilled Senior Quantitative Analyst to join their dedicated, fully remote quantitative research and modeling team. This is an exceptional opportunity for a finance professional with a strong mathematical and statistical background to contribute to the development and application of sophisticated financial models. You will be instrumental in designing, implementing, and validating quantitative models for trading strategies, risk management, pricing derivatives, and portfolio optimization. The ideal candidate will possess advanced knowledge of financial markets, a robust understanding of statistical and econometric techniques, and proficiency in programming languages commonly used in quantitative finance. Responsibilities include conducting in-depth market research, developing algorithms, performing backtesting, and presenting findings to senior management and trading desks. This role requires a proactive approach to identifying market opportunities and risks, as well as a meticulous attention to detail in model construction and validation. As this is a fully remote position, you will need to demonstrate strong self-discipline, excellent remote collaboration skills, and the ability to manage your workload effectively in a virtual environment. You will work alongside a team of highly accomplished quants and traders, contributing to the firm's competitive edge in global financial markets. Our client offers continuous learning opportunities, exposure to complex financial instruments, and a challenging yet rewarding career path within a reputable financial institution. Your ability to translate complex mathematical concepts into practical financial applications will be key to your success.

Key Responsibilities:
  • Develop, implement, and maintain quantitative models for financial markets.
  • Conduct statistical analysis and econometric modeling of market data.
  • Design and backtest trading algorithms and strategies.
  • Price complex financial derivatives and manage associated risks.
  • Perform sensitivity analysis and stress testing of financial models.
  • Collaborate with traders, portfolio managers, and other stakeholders to provide quantitative insights.
  • Ensure the accuracy, robustness, and regulatory compliance of models.
  • Document model methodologies, assumptions, and limitations thoroughly.
  • Stay updated on the latest quantitative finance research and market developments.
  • Contribute to the firm's quantitative strategy and innovation efforts.
Qualifications:
  • Master's or Ph.D. in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, or Financial Engineering.
  • Proven experience as a Quantitative Analyst or in a similar quantitative role within the financial services industry.
  • Strong knowledge of financial instruments, derivatives pricing, and risk management.
  • Proficiency in programming languages such as Python, R, C++, or MATLAB.
  • Expertise in statistical modeling, machine learning, and data analysis techniques.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Ability to work independently and manage projects effectively in a remote setting.
  • Strong written and verbal communication skills, with the ability to explain complex concepts clearly.
  • Experience with large datasets and database management is a plus.
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Senior Quantitative Analyst - Financial Markets

NE1 4PA Newcastle upon Tyne, North East £90000 Annually WhatJobs

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full-time
Our client, a leading financial institution, is seeking a highly skilled Senior Quantitative Analyst to join their prestigious team in **Newcastle upon Tyne, Tyne and Wear, UK**. This is a critical on-site role where you will apply advanced mathematical and statistical methods to develop and implement sophisticated trading strategies and risk management models. You will be instrumental in driving profitability and managing financial risks within dynamic market conditions.

Responsibilities:
  • Develop, implement, and test quantitative models for pricing, trading, and risk management of financial derivatives and instruments.
  • Conduct in-depth statistical analysis of market data to identify trading opportunities and patterns.
  • Build and maintain high-frequency trading systems and algorithms.
  • Collaborate with traders, portfolio managers, and risk managers to understand market needs and translate them into quantitative solutions.
  • Perform back-testing and simulation of trading strategies.
  • Contribute to the development of risk measurement frameworks and tools.
  • Ensure the accuracy and efficiency of quantitative models and systems.
  • Stay current with advancements in financial engineering, econometrics, and computational finance.
  • Communicate complex quantitative concepts to non-technical stakeholders.
  • Manage data pipelines and ensure data integrity for modeling.
Qualifications:
  • Master's or Ph.D. in a quantitative field such as Financial Engineering, Mathematics, Statistics, Physics, or Computer Science.
  • Minimum of 5 years of experience in a quantitative role within investment banking, hedge funds, or asset management.
  • Strong programming skills in languages such as Python, C++, or R, with experience in libraries for data analysis and scientific computing.
  • Expertise in financial modeling, derivative pricing, and risk management techniques.
  • Proven ability to develop and implement sophisticated trading algorithms.
  • Excellent understanding of financial markets and instruments.
  • Strong analytical, problem-solving, and critical thinking skills.
  • Ability to work effectively under pressure and meet tight deadlines.
  • Excellent communication and presentation skills.
This role offers a challenging and rewarding career in a fast-paced, intellectually stimulating environment within a top-tier financial services company.
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Senior Quantitative Analyst - Financial Markets

CV1 2AA Coventry, West Midlands £80000 Annually WhatJobs

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full-time
A prestigious investment bank in Coventry, West Midlands, UK is seeking a highly skilled Senior Quantitative Analyst to join its dynamic risk management team. This role is critical in developing and implementing sophisticated mathematical models and analytical tools to assess and manage financial risks across various market activities. You will be responsible for designing, testing, and validating quantitative models for pricing derivatives, measuring market risk, and optimizing trading strategies. The ideal candidate will possess a strong academic background in a quantitative discipline such as Mathematics, Physics, Statistics, or Computer Science, coupled with extensive experience in financial modeling and risk analysis within the banking or financial services sector. Proficiency in programming languages like Python, C++, or R, and experience with financial data platforms are essential. You must have exceptional analytical, problem-solving, and communication skills, with the ability to articulate complex quantitative concepts to both technical and non-technical audiences. This is a client-facing role requiring a deep understanding of financial markets, derivatives, and regulatory requirements. The position is based at our Coventry office, requiring full-time presence to foster collaboration and direct engagement with trading and risk management teams.
Key Responsibilities:
  • Develop, implement, and validate quantitative financial models.
  • Analyze market data to identify trends and assess risk exposures.
  • Price complex financial derivatives and structured products.
  • Develop risk management tools and methodologies.
  • Collaborate with trading desks and risk management teams.
  • Contribute to regulatory reporting and compliance initiatives.
  • Perform back-testing and sensitivity analysis on models.
  • Stay abreast of financial market developments and new modeling techniques.
Qualifications:
  • Master's or PhD in Mathematics, Statistics, Physics, Financial Engineering, or a related quantitative field.
  • Minimum of 5 years of experience as a Quantitative Analyst in the financial industry.
  • Expertise in derivative pricing, risk management, and financial modeling.
  • Proficiency in programming languages such as Python, C++, or R.
  • Strong understanding of financial markets and instruments.
  • Excellent analytical, problem-solving, and quantitative skills.
  • Effective communication and presentation abilities.
  • Experience with data analysis and visualization tools.
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Financial Markets Advisory Vice President / Associate

London, London BlackRock

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**About this role**
**About this role**
BlackRock's Financial Markets Advisory (FMA) team delivers strategic advice and execution support to public and private sector clients across capital markets, portfolio management, and data & analytics. Our clients include official sector and financial institution clients globally, including banks, central banks, asset owners and insurance companies.
We support them on their most critical and complex financial issues - including setting up sovereign investment funds, addressing capital markets topics, analysing, optimising and unwinding complex asset portfolios, and designing innovative financing solutions to support the economy.
Unique among financial markets advisory firms, we leverage BlackRock's sophisticated capital markets, data & analytics and technology capabilities, to provide impact-oriented advisory services.
Since our founding, we have completed assignments for more than 300+ clients in 40 countries. Our professionals work out of multiple regions - with offices in New York, London, Paris, Milan, Frankfurt, Budapest, Riyadh, Abu Dhabi, Mumbai, Gurgaon and Hong Kong. This global footprint allows us to serve clients in all locations and respond to their needs as they arise.
We are looking to recruit professionals at Associate- and Vice President-level to join the team in our London and Abu Dhabi offices.
**In this role you will partner with:**
+ External: you will engage with and advise private and public sector financial institutions, asset owners, as well as governments and central banks
+ Internal: you will leverage BlackRock's unparalleled capabilities across Capital Markets, Aladdin, Portfolio Advisory and Research functions
**Key responsibilities:**
+ Lead project activities, independently or with support of junior team members
+ Lead engagement design and planning, defining deliverables and content, and developing timelines
+ Lead or support day-to-day interactions with clients, including executive-level stakeholders
+ Develop subject matter expertise across capital markets topics, and provide client-specific actionable advice
+ Conduct or oversee research and quantitative analysis, resulting into high-quality reports and presentations that inform strategic decision-making
+ Uphold BlackRock's fiduciary culture and commitment to excellence
+ Work collaboratively in large, multi-disciplinary project teams
+ Actively contribute to business development, working alongside senior team leaders to conceive, develop, and market innovative solutions for new and existing clients
+ Mentor junior staff and provide guidance on project work
**Key skills and qualifications:**
+ Minimum of 3-7 years of strong experience in financial markets, investment banking, private markets investing, or top-tier management consulting
+ Self-determined drive to obtain superior results for clients
+ Excellent problem-solving and analytical skills and ability to learn new content quickly
+ Strong verbal and written communication, including the ability to synthesise complex ideas into clear messages
+ Superior organisational skills with the ability to perform under pressure and tight deadlines in a fast-paced, high-intensity environment
+ Genuine passion for the financial sector, especially with a focus on capital markets
+ Preferred:
+ Expertise in areas such as financial product structuring, secondaries, asset-backed finance, digital assets, infrastructure, financial modelling and data analysis
+ Fluency in Arabic (for roles in Abu Dhabi)
**Your learning & development will include:**
+ Gain and deepen subject matter expertise in capital markets, private markets, infrastructure and digital assets, facing innovative and complex challenges and evolving market trends
+ Build project management and leadership skills through hand-on execution
+ Strengthen client management and commercial skills through business development exposure during client meetings and project execution
**Our benefits**
To help you stay energized, engaged and inspired, we offer a wide range of employee benefits including: retirement investment and tools designed to help you in building a sound financial future; access to education reimbursement; comprehensive resources to support your physical health and emotional well-being; family support programs; and Flexible Time Off (FTO) so you can relax, recharge and be there for the people you care about.
**Our hybrid work model**
BlackRock's hybrid work model is designed to enable a culture of collaboration and apprenticeship that enriches the experience of our employees, while supporting flexibility for all. Employees are currently required to work at least 4 days in the office per week, with the flexibility to work from home 1 day a week. Some business groups may require more time in the office due to their roles and responsibilities. We remain focused on increasing the impactful moments that arise when we work together in person - aligned with our commitment to performance and innovation. As a new joiner, you can count on this hybrid model to accelerate your learning and onboarding experience here at BlackRock.
**About BlackRock**
At BlackRock, we are all connected by one mission: to help more and more people experience financial well-being. Our clients, and the people they serve, are saving for retirement, paying for their children's educations, buying homes and starting businesses. Their investments also help to strengthen the global economy: support businesses small and large; finance infrastructure projects that connect and power cities; and facilitate innovations that drive progress.
This mission would not be possible without our smartest investment - the one we make in our employees. It's why we're dedicated to creating an environment where our colleagues feel welcomed, valued and supported with networks, benefits and development opportunities to help them thrive.
For additional information on BlackRock, please visit @blackrock ( | Twitter: @blackrock ( | LinkedIn: is proud to be an Equal Opportunity Employer. We evaluate qualified applicants without regard to age, disability, race, religion, sex, sexual orientation and other protected characteristics at law.
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Remote Senior Quantitative Analyst - Financial Markets

BT1 1AA Belfast, Northern Ireland £80000 Annually WhatJobs

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full-time
Our client is seeking a highly skilled Senior Quantitative Analyst with expertise in financial markets to join their dynamic trading strategies team. This position is fully remote, enabling you to leverage your analytical prowess from anywhere. You will be responsible for developing, implementing, and validating complex quantitative models for trading, risk management, and portfolio optimization. Key responsibilities include designing algorithmic trading strategies, performing statistical analysis of market data, backtesting trading models, and developing pricing and hedging methodologies for financial derivatives. You will collaborate closely with portfolio managers and traders to identify investment opportunities and manage risk effectively. The ideal candidate will possess a Master's or Ph.D. in a quantitative field such as Financial Mathematics, Statistics, Physics, or Computer Science, along with a proven track record in financial modeling. Proficiency in programming languages like Python, C++, or R, and experience with financial data providers and platforms are essential. Strong analytical, problem-solving, and communication skills are required to translate complex quantitative concepts into actionable trading insights. This is a unique opportunity to contribute to a leading financial institution's success through sophisticated quantitative analysis, working remotely and impacting global financial strategies from Belfast, Northern Ireland, UK .
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Senior Financial Analyst - Capital Markets

EC2N 1HP London, London £60000 Annually WhatJobs

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full-time
Our client, a prestigious financial institution, is seeking a highly analytical and experienced Senior Financial Analyst to join their Capital Markets division in London, England, UK . This role operates on a hybrid model, combining office-based collaboration with the flexibility of remote work. As a Senior Financial Analyst, you will be instrumental in analyzing financial markets, evaluating investment opportunities, and providing strategic insights to support trading and investment decisions. Your responsibilities will include developing complex financial models, performing valuation analyses, and conducting in-depth research on various asset classes, economic trends, and market dynamics. You will prepare detailed reports, presentations, and recommendations for senior management and portfolio managers. Monitoring market performance, identifying risks and opportunities, and staying abreast of regulatory changes will be crucial. Collaboration with trading desks, portfolio management teams, and other finance professionals will be essential to ensure alignment and effective execution of strategies. The ideal candidate will possess a strong academic background, typically with a Bachelor's or Master's degree in Finance, Economics, Mathematics, or a related quantitative field. Professional certifications such as CFA or CPA are highly desirable. A minimum of 6 years of relevant experience in financial analysis, investment banking, asset management, or capital markets is required. Exceptional analytical, quantitative, and problem-solving skills, coupled with advanced proficiency in financial modeling and data analysis tools (e.g., Excel, Bloomberg, Python), are essential. Excellent communication and presentation skills are also a must for effectively conveying complex financial information. This is a prime opportunity for a seasoned financial analyst to contribute to a leading firm in London 's vibrant financial sector, influencing key market strategies.
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Senior Financial Analyst - Capital Markets

SO14 0DE Southampton, South East £60000 Annually WhatJobs

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full-time
Our client, a globally recognized financial institution, is seeking a highly analytical and driven Senior Financial Analyst to join their remote-first Capital Markets team. This position offers the unique opportunity to work from anywhere, contributing to critical financial operations and strategic decision-making. You will be responsible for conducting in-depth financial analysis, developing complex financial models, and providing insights into market trends and investment opportunities. Key responsibilities include preparing financial reports, analyzing investment portfolios, forecasting financial performance, and evaluating the financial health of various entities. You will collaborate with portfolio managers, traders, and executive leadership to support investment strategies and risk management. Proficiency in financial modeling software, advanced Excel skills, and familiarity with Bloomberg Terminal or similar financial data platforms are essential. Experience with data analysis tools and BI platforms such as Tableau or Power BI is highly desirable. The ideal candidate will have a strong academic background in Finance, Economics, or a related field, coupled with a minimum of 5 years of relevant experience in financial analysis, investment banking, or asset management. Excellent quantitative, analytical, and problem-solving skills are paramount. Strong communication and presentation skills are required to effectively convey complex financial information to diverse audiences. We are looking for a self-motivated individual who can work independently, manage multiple priorities, and thrive in a dynamic, fast-paced, and remote working environment. Join our team and play a key role in shaping the financial future.
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