Our client, an established multi-billion dollar hedge fund, is actively looking to make an expansion hire for their growing trade support team in London. The firm has a global macro approach and has grown significantly in recent years, with offices across the US, Europe and Asia. They have a dynamic and collaborative office environment where you will gain excellent exposure to the firms strategies and decision making. The trade support team is lean and efficient with and works closely with the desk. The firm has a track record of internal progression within the business, with career opportunities for high performers to move into front office or other teams in the business. The ideal candidate will need to have a minimum of 3 years' experience in a similar Trade Support/Middle Office role in either a hedge fund or investment bank. Strong knowledge of OTC & Rates trading products will also be essential, along with the ability to work with cross-functional teams. There will be a highly attractive compensation package on offer, hybrid working schedule, and exciting company socials. Please apply for more information.
Jun 27, 2025
Full time
Our client, an established multi-billion dollar hedge fund, is actively looking to make an expansion hire for their growing trade support team in London. The firm has a global macro approach and has grown significantly in recent years, with offices across the US, Europe and Asia. They have a dynamic and collaborative office environment where you will gain excellent exposure to the firms strategies and decision making. The trade support team is lean and efficient with and works closely with the desk. The firm has a track record of internal progression within the business, with career opportunities for high performers to move into front office or other teams in the business. The ideal candidate will need to have a minimum of 3 years' experience in a similar Trade Support/Middle Office role in either a hedge fund or investment bank. Strong knowledge of OTC & Rates trading products will also be essential, along with the ability to work with cross-functional teams. There will be a highly attractive compensation package on offer, hybrid working schedule, and exciting company socials. Please apply for more information.
VP, Compliance Advisory - Traditional Asset Management About the Firm Our client is a leading asset management firm with a strong global presence and a long-standing reputation for investment excellence. With decades of experience across both traditional and alternative asset classes, the firm is known for its high-conviction, research-led approach and its unwavering commitment to delivering long-term value to its clients. The business fosters a culture of independent thinking, intellectual rigor, and a collaborative working environment. Employees are encouraged to take ownership, challenge ideas constructively, and contribute to the continuous evolution of the firm's capabilities. With a strong emphasis on integrity, responsible investing, and a client-first philosophy, this is a firm that values both performance and purpose. The Opportunity This is a newly created position within the Compliance function, offering the opportunity to help shape and lead the Compliance Advisory framework. The VP will work closely with key stakeholders across the business, acting as the primary point of contact for compliance matters related to the Equities and Fixed Income investment teams. The role sits within a collegiate and high-performing compliance function with strong visibility across the firm. Key Responsibilities Develop and enhance the Compliance Advisory framework to support the firm's traditional asset management activities Serve as the first line of advisory support for the Equities and Fixed Income teams, providing timely and pragmatic guidance on regulatory and internal policy matters Draft, update, and maintain compliance-related policies and procedures in line with evolving regulatory expectations and business needs Monitor regulatory developments across the UK, EU, and US, assessing potential impact and implementing appropriate changes Liaise with internal stakeholders including Legal, Risk, Operations, and Investment teams to promote a strong compliance culture Support periodic compliance reporting, training, and thematic reviews Key Requirements Minimum of 8 years' compliance experience, ideally gained within a buy-side investment firm or global asset manager Strong working knowledge of UK regulatory requirements (FCA), with exposure to SEC, ESMA, and broader EU regulations highly beneficial Proven ability to interpret and apply regulation in a practical, business-minded way Excellent written and verbal communication skills, with confidence in engaging senior stakeholders Collaborative mindset and a proactive, solutions-oriented approach
Jun 27, 2025
Full time
VP, Compliance Advisory - Traditional Asset Management About the Firm Our client is a leading asset management firm with a strong global presence and a long-standing reputation for investment excellence. With decades of experience across both traditional and alternative asset classes, the firm is known for its high-conviction, research-led approach and its unwavering commitment to delivering long-term value to its clients. The business fosters a culture of independent thinking, intellectual rigor, and a collaborative working environment. Employees are encouraged to take ownership, challenge ideas constructively, and contribute to the continuous evolution of the firm's capabilities. With a strong emphasis on integrity, responsible investing, and a client-first philosophy, this is a firm that values both performance and purpose. The Opportunity This is a newly created position within the Compliance function, offering the opportunity to help shape and lead the Compliance Advisory framework. The VP will work closely with key stakeholders across the business, acting as the primary point of contact for compliance matters related to the Equities and Fixed Income investment teams. The role sits within a collegiate and high-performing compliance function with strong visibility across the firm. Key Responsibilities Develop and enhance the Compliance Advisory framework to support the firm's traditional asset management activities Serve as the first line of advisory support for the Equities and Fixed Income teams, providing timely and pragmatic guidance on regulatory and internal policy matters Draft, update, and maintain compliance-related policies and procedures in line with evolving regulatory expectations and business needs Monitor regulatory developments across the UK, EU, and US, assessing potential impact and implementing appropriate changes Liaise with internal stakeholders including Legal, Risk, Operations, and Investment teams to promote a strong compliance culture Support periodic compliance reporting, training, and thematic reviews Key Requirements Minimum of 8 years' compliance experience, ideally gained within a buy-side investment firm or global asset manager Strong working knowledge of UK regulatory requirements (FCA), with exposure to SEC, ESMA, and broader EU regulations highly beneficial Proven ability to interpret and apply regulation in a practical, business-minded way Excellent written and verbal communication skills, with confidence in engaging senior stakeholders Collaborative mindset and a proactive, solutions-oriented approach
OCR is pleased to be working with a well-established global hedge fund that is expanding its presence in the Middle East and growing its team in Abu Dhabi. This firm has a strong reputation for delivering outstanding results and offers an excellent platform for career development. They are seeking an Execution Trader to collaborate closely with Portfolio Managers, executing trades across diverse strategies with a particular focus on fixed income and credit products . The ideal candidate will bring 3-7 years of trading experience , a strong analytical mindset, and a deep understanding of the fixed income and credit markets. This role is well-suited for someone looking to contribute to a growing team and develop their career within a high-performing environment. This is an exciting opportunity to join a dynamic firm during a period of expansion, offering excellent potential for ownership and progression. Please apply for more information.
Jun 26, 2025
Full time
OCR is pleased to be working with a well-established global hedge fund that is expanding its presence in the Middle East and growing its team in Abu Dhabi. This firm has a strong reputation for delivering outstanding results and offers an excellent platform for career development. They are seeking an Execution Trader to collaborate closely with Portfolio Managers, executing trades across diverse strategies with a particular focus on fixed income and credit products . The ideal candidate will bring 3-7 years of trading experience , a strong analytical mindset, and a deep understanding of the fixed income and credit markets. This role is well-suited for someone looking to contribute to a growing team and develop their career within a high-performing environment. This is an exciting opportunity to join a dynamic firm during a period of expansion, offering excellent potential for ownership and progression. Please apply for more information.
Compliance Officer - Hedge Fund About the Company A global, multi-strategy investment firm is seeking a driven and versatile Senior Compliance Officer to join its London office. With a sophisticated platform across global asset classes, the firm is known for its collaborative culture, intellectual rigor, and long-term performance. About the Role This role offers significant exposure and responsibility within a high-performing global compliance team and is a fantastic opportunity for someone looking to make a real impact in a dynamic hedge fund environment. Reporting into the Global Chief Compliance Officer, you will be joining a lean, non-hierarchical team. Responsibilities Supporting the compliance team on managing day-to-day compliance processes Advising on global regulatory matters, spanning the FCA and SEC Developing and running the compliance monitoring program Updating and maintaining policies and procedures Providing guidance to investment professionals on compliance-related matters Qualifications 5-10+ years of experience in compliance, ideally within a hedge fund or alternatives environment Strong working knowledge of UK, European, and US regulatory frameworks (FCA, SEC, NFA, MiFID, MAR, etc.) Familiarity with multi-asset class trading strategies Confident communicator with the ability to work independently and build relationships across jurisdictions Willingness to work on-site and establish a strong compliance presence Required Skills Experience in compliance within a hedge fund or alternatives environment Knowledge of UK and European regulatory frameworks. SEC knowledge preferable Familiarity with multi-asset class trading strategies Strong communication skills
Jun 26, 2025
Full time
Compliance Officer - Hedge Fund About the Company A global, multi-strategy investment firm is seeking a driven and versatile Senior Compliance Officer to join its London office. With a sophisticated platform across global asset classes, the firm is known for its collaborative culture, intellectual rigor, and long-term performance. About the Role This role offers significant exposure and responsibility within a high-performing global compliance team and is a fantastic opportunity for someone looking to make a real impact in a dynamic hedge fund environment. Reporting into the Global Chief Compliance Officer, you will be joining a lean, non-hierarchical team. Responsibilities Supporting the compliance team on managing day-to-day compliance processes Advising on global regulatory matters, spanning the FCA and SEC Developing and running the compliance monitoring program Updating and maintaining policies and procedures Providing guidance to investment professionals on compliance-related matters Qualifications 5-10+ years of experience in compliance, ideally within a hedge fund or alternatives environment Strong working knowledge of UK, European, and US regulatory frameworks (FCA, SEC, NFA, MiFID, MAR, etc.) Familiarity with multi-asset class trading strategies Confident communicator with the ability to work independently and build relationships across jurisdictions Willingness to work on-site and establish a strong compliance presence Required Skills Experience in compliance within a hedge fund or alternatives environment Knowledge of UK and European regulatory frameworks. SEC knowledge preferable Familiarity with multi-asset class trading strategies Strong communication skills
Compliance Associate - Alternatives London A unique opportunity to join a leading hedge fund at a pivotal stage of growth. This is a broad compliance role offering exposure across global operations and investment strategies, working closely with a collaborative London-based team. As part of a small, high-performing compliance function, you'll help shape and implement the firm's regulatory framework across multiple jurisdictions (FCA, SEC, NFA, JFSC). The role spans monitoring, advisory, policy development, and strategic project work - all within a dynamic and intellectually rigorous environment. We're looking for someone with 3-5 years' compliance experience, ideally from another alternative investment manager. Strong knowledge of FCA regulations is essential; SEC/NFA exposure is a plus. You'll need excellent communication skills, a sharp eye for detail, and a proactive, solutions-oriented mindset. If you're ready to take the next step in your compliance career with a firm that values integrity, thoughtfulness, and global collaboration - we'd love to hear from you.
Jun 25, 2025
Full time
Compliance Associate - Alternatives London A unique opportunity to join a leading hedge fund at a pivotal stage of growth. This is a broad compliance role offering exposure across global operations and investment strategies, working closely with a collaborative London-based team. As part of a small, high-performing compliance function, you'll help shape and implement the firm's regulatory framework across multiple jurisdictions (FCA, SEC, NFA, JFSC). The role spans monitoring, advisory, policy development, and strategic project work - all within a dynamic and intellectually rigorous environment. We're looking for someone with 3-5 years' compliance experience, ideally from another alternative investment manager. Strong knowledge of FCA regulations is essential; SEC/NFA exposure is a plus. You'll need excellent communication skills, a sharp eye for detail, and a proactive, solutions-oriented mindset. If you're ready to take the next step in your compliance career with a firm that values integrity, thoughtfulness, and global collaboration - we'd love to hear from you.
This is a varied role, with responsibilities involving trading desk support, pricing and valuations. You will have direct contact with a variety of parties and work in a close-knit Middle Office team to ensure that all day to day duties and controls are covered across offices. The role provides visibility to a range of investments and will provide substantial opportunities for personal growth and development. Principal Responsibilities: Work with trading desks and third-party fund administrator to price the book on a monthly basis. Work with external pricing vendors to enhance third party valuation support. Assist with daily, monthly and ad-hoc reporting to the PMs. Execution of repo and reverse repo trades to cover short positions on the book and to source liquidity. Assist with Valuation Committee material generation. Provide oversight of daily checks, documentation and process controls. Ensuring trade allocations are entered per PM instructions and completing associated control checks. Identify high touch events and escalate appropriately. Adhere to new policies, procedures and internal controls as business invests in new assets or geographies. Provide support on restructurings and other Asset Servicing events. Involvement in strategic initiatives, particularly with a focus on automating manual processes and improving efficiency. Interface and develop internal relationships with Accounting, Tax, Treasury, and BDIR functions on ad-hoc related tasks and requests. Requirements: A number of years of prior experience at a Hedge Fund, Asset Manager and/or Global Bank; within a Trade Assistant / Valuation and/ or Product Control function is strongly preferred. Excellent computer skills, particularly Excel. Knowledge of Bloomberg, Advent Geneva portfolio management. Strong product knowledge (Equities, FX, Fixed Income, CDS, Bank Debt, Repos).
Dec 01, 2021
Full time
This is a varied role, with responsibilities involving trading desk support, pricing and valuations. You will have direct contact with a variety of parties and work in a close-knit Middle Office team to ensure that all day to day duties and controls are covered across offices. The role provides visibility to a range of investments and will provide substantial opportunities for personal growth and development. Principal Responsibilities: Work with trading desks and third-party fund administrator to price the book on a monthly basis. Work with external pricing vendors to enhance third party valuation support. Assist with daily, monthly and ad-hoc reporting to the PMs. Execution of repo and reverse repo trades to cover short positions on the book and to source liquidity. Assist with Valuation Committee material generation. Provide oversight of daily checks, documentation and process controls. Ensuring trade allocations are entered per PM instructions and completing associated control checks. Identify high touch events and escalate appropriately. Adhere to new policies, procedures and internal controls as business invests in new assets or geographies. Provide support on restructurings and other Asset Servicing events. Involvement in strategic initiatives, particularly with a focus on automating manual processes and improving efficiency. Interface and develop internal relationships with Accounting, Tax, Treasury, and BDIR functions on ad-hoc related tasks and requests. Requirements: A number of years of prior experience at a Hedge Fund, Asset Manager and/or Global Bank; within a Trade Assistant / Valuation and/ or Product Control function is strongly preferred. Excellent computer skills, particularly Excel. Knowledge of Bloomberg, Advent Geneva portfolio management. Strong product knowledge (Equities, FX, Fixed Income, CDS, Bank Debt, Repos).