Investment Banking BAs, PMs and Developers – Portfolio Management and Regulatory Reporting

  • N/A
  • London, England, United Kingdom
  • Contract, Full time
  • Miura Development
  • 21 Aug 17

MAXIMISE THE EFFECTIVENESS OF YOUR TIME BETWEEN CONTRACTS BY DEVELOPING YOUR KNOWLEDGE, YOUR SKILLS AND YOUR NETWORK. Miura Development is currently seeking interns for several of our ongoing projects in the investment banking industry. These projects include: (1) a Business Support System for a new Hedge Fund, (2) a Market Price and Rate database for use by specialist Investment firms, (3) a Market Risk system for a Fund Management Company, (4) a Best-Execution MIFID system and (5) several client-facing gap analyses for firms seeking MIFID II compliance. Applicants with good BA and PM skills and Developers..

MAXIMISE THE EFFECTIVENESS OF YOUR TIME BETWEEN CONTRACTS BY DEVELOPING YOUR KNOWLEDGE, YOUR SKILLS AND YOUR NETWORK.

Miura Development is currently seeking interns for several of our ongoing projects in the investment banking industry. These projects include: (1) a Business Support System for a new Hedge Fund, (2) a Market Price and Rate database for use by specialist Investment firms, (3) a Market Risk system for a Fund Management Company, (4) a Best-Execution MIFID system and (5) several client-facing gap analyses for firms seeking MIFID II compliance. Applicants with good BA and PM skills and Developers with solid coding experience are encouraged to apply, regardless of current industry.

Applicants with appropriate experience will be considered for immediate posting to these roles; where applicants do not have investment banking experience but do have other relevant commercial experience or transferable skills we will provide the necessary training and upskilling, including trading system implementation (Murex, Calypso, Summit), OTC Clearing, Algorithmic Trading and Regulatory change (AIFMD, EMIR, MiFID II). We require interns to develop their understanding of the whole Front to Back Office process, including both “business as usual” and “change management” aspects of the investment banking landscape, across all asset classes and in various specialist topics such as market and credit risk, and system knowledge such as Murex and Calypso.