Python Developer - Equity Volatility
The successful candidate will join a London-based team that designs, develops, and supports cutting-edge applications that support equity derivatives trading as well as equities and risk management. The candidate will work hands-on with other developers, QA and production support teams to build applications and processes that process, summarize, and display large financial datasets such as volatility, dividends, and borrow rates. The team interacts with key stakeholders such as Portfolio Managers as well as Equities and Risk Managers. Must be a very strong hands-on developer with deep understanding of financial data processing and equity derivatives markets. Must have excellent communication skills and be a team player. Experience working in a Unix/Linux environment with cloud and containerization technologies is a plus.
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