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Freelance
CDI
CDD

Offre d'emploiIngénieur DevSecOps junior

KEONI CONSULTING
Publiée le
CI/CD
DevSecOps
Market data

18 mois
20k-60k €
370 €
Paris, France
Contexte Le candidat intégrera le programme « DevSecOps » , en forte interaction avec les équipes de développement, les équipes de sécurité, de production, d'architecture et les équipes applicatives. Le programme « DevSecOps » a pour mandat : - Transformer et moderniser les usines logicielles en intégrant la sécurité dès la conception (Shift Left). - Promouvoir l'adoption des meilleures pratiques DevOps et de livraison continue (CI/CD) à l'échelle du département. - Standardiser, outiller et automatiser la chaîne de livraison pour accélérer le Time-to-Market tout en garantissant un niveau de conformité et de sécurité maximal. - Définir et déployer des mécanismes de gouvernance transverse pour mesurer et améliorer l'efficacité des pipelines applicatifs. MISSIONS L'objectif de cette mission est d'accompagner le programme DevSecOps sur : - Mise en œuvre de la gouvernance transverse autour des bonnes pratiques DevOps et CI/CD. - L'accompagnement et l'assistance technique continue auprès des équipes de développement dans l'adoption des outils DevOps et DevSecOps. - La sécurisation des pipelines via l'intégration systématique et automatisée des outils de scan de sécurité et de qualité de code. - La promotion d'une culture DevSecOps forte à travers une communication et une animation transverse active.
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Freelance
CDI

Offre d'emploiBusiness Analyst Data Marketing – Profil Client 360 Expérimenté sur Nantes

EterniTech
Publiée le
CRM
Hbase
JIRA

1 an
Nantes, Pays de la Loire
Contexte de la missionVous interviendrez en tant que Business Analyst Data sur des sujets liés à la connaissance client, la segmentation, les parcours marketing et les usages data. Vous serez l'interface entre les équipes métiers Marketing, les équipes Data et les équipes de développement. Vos principales responsabilités :Recueillir, analyser et formaliser les besoins métiers auprès des équipes Marketing. Animer des ateliers et produire des comptes rendus synthétiques mettant en avant les décisions et points clés. Transformer les besoins en récits utilisateurs structurés selon l'approche INVEST. Rédiger les spécifications fonctionnelles détaillées. Participer à la modélisation fonctionnelle des données. Réaliser des analyses et explorations de données. Préparer et exécuter les campagnes de tests fonctionnels. Assurer le suivi des anomalies, incidents et demandes d'assistance. Participer à l'accompagnement au changement et à la rédaction de la documentation projet. Produire les livrables attendus dans le cadre du cycle de vie produit. Qualités attendues :Excellente capacité d'analyse et de synthèse. Très bon relationnel avec les métiers et les utilisateurs finaux. Capacité à challenger les besoins et être force de proposition. Autonomie, rigueur et curiosité. Capacité à travailler dans un environnement Agile.
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Freelance
CDI

Offre d'emploiConsultant salle de marchés produits dérivés + dev C#

ARDEMIS PARTNERS
Publiée le
C#
Finance

6 mois
40k-60k €
520-680 €
Paris, France
client bancaire en salle des marchés - profil double compétences maths +ingénierie financière recherché Commando Equity Markets au sein de la BGC Contexte : La mission se déroule au sein de l'équipe Front Office Commandos Equity Markets qui travaille en salle de marché à proximité de ses clients (Trading, Ingénierie Financière) Le rôle de cette équipe est de fournir des outils à valeur ajoutée fonctionnelle au business. Les principaux outils développés sont les suivants : - valorisation de produits financiers - calibration de Markets data - explication de PNL - backtesting Les clients sont répartis dans toutes les zones géographiques et les applications sont donc déployées dans toutes les zones. Les tâches principales sont les suivantes : - accompagner le métier au quotidien sur de l'exploration et du prototypage (Python + API REST) - prendre en compte les besoins du métier (pas de MOA intermédiaire) - développer les applications correspondantes à ces besoins (C# / WPF / Blazor) - assurer le support et la maintenance de ces applications - assurer l'harmonisation des outils à travers les différentes zones géographiques Points forts de la mission : - proximité du métier et itération quotidienne avec eux (rattachement hiérarchique au trading et place en salle à côté d'eux) - applications à valeurs ajoutée fonctionnelle - interactions avec de nombreuses équipes
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CDI

Offre d'emploiIT Support Engineer

Nexus Jobs Limited
Publiée le

£40k-50k
Grand Londres, Royaume-Uni
IT Support Engineer Our Client is an established bank based in Central London. They are looking to recruit an IT Support Analyst with at least 5 plus years of 1 and 2 level hands-on expertise of working within IT Support and Infrastructure from a banking environment. The following are list of skills required for the position: · Microsoft Windows (all versions) experience to a high level (troubleshoot and effectively resolve issues by research/using knowledge bases in a confident way). · Active Directory to a high level - security groups, administration/deployment, LDAP, ADSI. · Citrix XenApps – Administration, Maintenance and Support of existing Citrix XenApps server farm · Windows Server Environment 2012/2016 - design, deployment, maintenance and support. · VM-Ware virtualisation environments. · Backups (various and ability to use different applications). · Networking - design/troubleshoot/installation (VLAN, routing, switching, TCP/IP and OSI) · Router maintenance - wireless configuration, installation and setups. · PowerShell to a competent level (backup/azure/EMC). · VPN Administration and Deployment. · DNS – administration of DNS internal and external. Experience of supporting Market Data and Bloomberg would be a great plus. The salary for this position with be circa £40K - £50K. This is a hybrid position and you will be required to be in the office at least 3 days a week. The position will be a 12 month full time contract – FTC initially. Do send your CV to us in Word format along with your salary and availability.
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Freelance

Mission freelanceProduct Manager – Collateral Management

LeHibou
Publiée le
Product management

12 mois
€680
Bruxelles, Bruxelles-Capitale, Belgique
Notre client dans le secteur Banque et finance recherche un/une Product Manager – Collateral Management H/F Description de la mission : Job description – Product Manager – Collateral Management Context and objective A major financial market infrastructure organization is seeking a Product Manager to strengthen the team managing a suite of collateral management services for a temporary assignment of one year. The role plays a pivotal part in the evolution of the collateral management business by leading the delivery of digital collateral management services based on asset tokenisation and exchange on ledger. The position involves consulting with clients, following market developments, and interacting with relevant internal stakeholders to drive the ideation, design and development of new collateral services deployed on digital ledgers. Main responsibilities • Lead the delivery of new digital collateral management services relying on collateral tokenisation • Ensure products and services remain competitive and compliant with regulatory requirements • Develop product solutions combining cost efficiency, functionality and creativity • Manage the product lifecycle and overall product contribution • Oversee and contribute to market research, product development and product design • Set pricing, oversee sales and marketing campaigns, and monitor sales performance • Monitor, analyse and evaluate market trends, client behaviour and competitor activity to identify market opportunities for products and services • Monitor, analyse and evaluate product performance and customer feedback to generate new product ideas and identify features that need to evolve to meet customer needs • Liaise with other areas of the organization to implement product changes • Work with marketing and product specialist support to design sales campaigns that are consistent, effective and appropriate for the target audience Profile sought • Product Manager profile required; not a Project Manager or Program Manager • Knowledge or experience in the functioning of global financial markets • Knowledge or experience of Digital Ledger Technology, particularly its application in the post-trade industry • Proven track record in collateral management • Strong product management skills, with interest in business case formulation, analysis of market data and trends, and presentations Soft skills • Communication: ability to articulate complex concepts persuasively, excel in active listening, and communicate clearly and influentially in a cross-functional environment • Networking: ability to build and maintain an influential professional network and foster collaboration and knowledge exchange • Dealing with ambiguity: ability to steer stakeholders through complex and unpredictable challenges • Problem solving: ability to navigate complex issues and make strategic decisions based on facts Work environment • Role suited to someone seeking autonomy, comfortable in a less structured environment, and open to challenge and debate Compétences / Qualités indispensables : Product management, Collateral management, Digital Ledger Technology, Collateral tokenisation, Global financial markets, Stakeholder communication Compétences / Qualités qui seraient un + : Expérience secteur financier Informations concernant le télétravail : Oui — 3 jours/semaine
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CDI

Offre d'emploiIT Applications and Infrastructure Support Analyst

Nexus Jobs Limited
Publiée le

£50k-65k
Grand Londres, Royaume-Uni
IT Applications and Infrastructure Support Analyst Our Client a bank based in Central London is looking to recruit a seasoned professional with at least 5 to 10 years hands-on expertise at 2 and 3 level support. 1st and 2nd Line Troubleshooting / Root-Cause Analysis, Documentation write ups for Knowledge Base Articles Be an integral part of the Support team in supporting and delivering all aspect of services and full range of client support including, but not limited to: Workstation Imaging, Hardware Configurations, Deployment of Software and Hardware, AD Management, Asset Management, Ticket Queuing Management (Alloy Navigator) and general overall efficiency to deliver the best service we can to our Users. Be the face and central point of all incoming IT queries and issues, with following ITIL best practice to ensure we always deliver high-standards of operations Liaise with colleagues in London and external support / 3rd party to deliver resolutions for complex matters as we're in the process of many IT migration projects from legacy to new as well as life cycling projects Ensure all key data for IT is up-to-date, relevant and maintenance to high-level, to comply with the Bank's auditing principals and processes. Ensure the Support Team achieve SLA targets the business outlines and be part of a proficient and proactive Support Unit Regulatory Duties: Maintain knowledge of all applicable regulatory requirements including the Bank's Risk and Compliance policies and procedures and adhere to these to avoid exposing the Bank to undue risk. Report policy / procedure breaches and areas of potential non-compliance and suspicions promptly upon identification in accordance with the Bank's Risk and Compliance policies. Accurately execute all controls within own area to minimise risk of policy, procedure and / or regulatory breaches. Identify new risks / control gaps within own area and escalate accordingly to your Line Manager and / or regulatory exercises. Training under a Senior IT Engineer / Head of Infrastructure in the Team during Probation period As part of the probation period, assignment of small side IT desk projects to support and deliver IT Projects Complete all annual mandatory regulatory refresher training as per the Bank's training plans and deadlines. Proactively seek to complete recommended technical and behavioural competencies training required for your role. Technical Experience Required: Exposure to Market Data, Bloomberg, Trader Support Microsoft Windows (all versions) experience to a high level (troubleshoot and effectively resolve issues by research/using knowledge bases in a confident way). Active Directory to a medium-high level - security groups, administration/deployment, LDAP, ADSI. Citrix XenApps – Administration, Maintenance and Support of existing Citrix XenApps server farm Windows Server Environment 2012/2016 - design, deployment, maintenance and support. VM-Ware virtualisation environments. Backups (various and ability to use different applications). Networking - design/troubleshoot/installation (VLAN, routing, switching, TCP/IP and OSI) Router maintenance - wireless configuration, installation and setups. PowerShell to a competent level (backup/azure/EMC). VPN Administration and Deployment. DNS – administration of DNS internal and external. Salary will be in the range £50K - £65K. The position is hybrid with 3 days in the office in Central London. Do send your CV to us in Word format along with your salary and notice period.
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CDI

Offre d'emploiTechnical Product Owner - Equity Calculation 1 Year Fixed Term Contract

█ █ █ ██ █ █
Publiée le
DevOps
Scrum

Grand Londres, Royaume-Uni

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CDI

Offre d'emploiSupport Analyst with 2nd Level Treasury Systems Support – FIS Integrity

Nexus Jobs Limited
Publiée le

£60k-80k
Grand Londres, Royaume-Uni
Support Analyst with 2 Level Treasury Systems Support – FIS Integrity FIS Integrity -Treasury and Risk Management System Support Analyst with 2 Level experience. Our Client is in the process of implementing a global rollout of FIS Integrity Treasury and Risk Management System. You must have at least 1 to 4 years experience of working with and supporting FIS Treasury and Risk Management System Integrity. This is a 2 level implementation and support position. Operational Platform Monitoring & Treasury Process Assurance Ensures uninterrupted execution of Treasury‑critical processes and protection of daily cash positioning, payment execution, and cut‑off compliance. Monitor Treasury systems, interfaces, and scheduled jobs (EOD, SOD, intraday processes)  Oversee payment flows across SWIFT, API, EBICS, and bank platforms  Validate inbound data (bank statements, market data, trade feeds)  Execute operational runbooks for failed processes and controlled reprocessing  Perform daily checks and controls including cash position validation and transaction completeness Incident Management & Treasury Service Continuity Protects Treasury operations by restoring service rapidly when incidents threaten payments, liquidity visibility, or regulatory obligations.  Log, classify, and prioritise incidents in ServiceNow based on Treasury business impact  Perform structured triage and initial diagnosis  Resolve standard issues within SLA using approved knowledge base and runbooks  Escalate complex or cross‑system issues to L3 with full technical and business diagnostic context  Support major incident management processes and incident bridge calls Cash, Position & Exposure Data Integrity Ensures integrity of cash, position, risk, exposure, and hedge data used in Treasury decision‑making, external reporting, and audit processes.  Validate transaction, position, balance, and exposure data across Treasury systems  Identify and resolve discrepancies impacting liquidity confidence and risk accuracy Support reconciliation processes and ensure audit‑ready completeness of financial data Testing & Release Support with Treasury Assurance Ensures Treasury readiness and outcome protection for system changes and SaaS releases.  Support execution of business testing, UAT, and regression testing  Validate operational outputs resulting from system changes  Assist in business readiness checks prior to release or cutover Essential  2–5 years' experience in 1st / 2nd Line Treasury systems or financial systems support  Understanding of Treasury processes (payments, liquidity, settlements)  Experience with incident management and ITIL processes  Strong analytical and troubleshooting skills Desirable  Experience in FIS Integrity System  Basic SQL or data interrogation capability  Exposure to SWIFT, APIs, and integration technologies  Experience supporting UAT or testing cycles Qualifications  Degree in Finance, IT, or related discipline  ITIL Foundation (preferred) Experience with FIS Integrity or similar Treasury and Risk Management systems is highly desirable A proactive attitude and ability to adapt to a hybrid work environment This will be a hybrid role with 3 days in the office in Central London. The salary for this role will be in the range £60K - £80K. Do send your CV to us in Word format along with your salary and availability.
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CDI

Offre d'emploiIT Support Analyst with 2nd Level Treasury Systems Support – FIS Integrity

Nexus Jobs Limited
Publiée le

£70k-85k
Dublin, Leinster, Irlande
IT Support Analyst with 2 Level Treasury Systems Support – FIS Integrity FIS Integrity -Treasury and Risk Management System Support Analyst with 2 Level experience. Our Client is in the process of implementing a global rollout of FIS Integrity Treasury and Risk Management System. Must have at least 3 to 5 years experience at supporting 1st / 2nd Line Treasury systems or financial systems support The Client is ideally looking to recruit at least 1 years experience of working with and supporting FIS Treasury and Risk Management System FIS Integrity. This is a 2 level Treasury Systems implementation and support position. Role Description The IT Support Analyst with 2nd Level Treasury Systems Support – FIS Integrity role is a full-time hybrid position based in Dublin Ireland, with some work-from-home flexibility. The role involves providing second-line technical support for FIS Integrity and related treasury systems, including diagnosing incidents, resolving complex issues, and escalating to vendors or internal teams when needed. The analyst will monitor system performance, manage service requests, document solutions, and contribute to improvements in system reliability and user experience. Day-to-day tasks include working closely with treasury, IT, and operations stakeholders, handling changes and configuration updates, and ensuring adherence to service-level and security standards. The role requires clear communication with users, accurate reporting on incidents and trends, and proactive identification of risks or optimization opportunities. Qualifications Should possess strong Technical Support and Troubleshooting skills, with experience in 2nd level support for financial or treasury systems such as FIS Integrity. Have solid Analytical Skills and Information Technology knowledge, including understanding of system architecture, interfaces, and incident analysis. Candidates should possess effective Communication skills, with the ability to explain technical issues to non-technical stakeholders and collaborate across teams. Experience in treasury, banking, or financial services environments and familiarity with ITIL or similar service management frameworks is beneficial. A relevant degree or professional qualification in IT, Computer Science, or a related field, along with experience in hybrid working setups, is preferred. Operational Platform Monitoring & Treasury Process Assurance Ensures uninterrupted execution of Treasury‑critical processes and protection of daily cash positioning, payment execution, and cut‑off compliance. Monitor Treasury systems, interfaces, and scheduled jobs (EOD, SOD, intraday processes)  Oversee payment flows across SWIFT, API, EBICS, and bank platforms  Validate inbound data (bank statements, market data, trade feeds)  Execute operational runbooks for failed processes and controlled reprocessing  Perform daily checks and controls including cash position validation and transaction completeness Incident Management & Treasury Service Continuity Protects Treasury operations by restoring service rapidly when incidents threaten payments, liquidity visibility, or regulatory obligations.  Log, classify, and prioritise incidents in ServiceNow based on Treasury business impact  Perform structured triage and initial diagnosis  Resolve standard issues within SLA using approved knowledge base and runbooks  Escalate complex or cross‑system issues to L3 with full technical and business diagnostic context  Support major incident management processes and incident bridge calls Cash, Position & Exposure Data Integrity Ensures integrity of cash, position, risk, exposure, and hedge data used in Treasury decision‑making, external reporting, and audit processes.  Validate transaction, position, balance, and exposure data across Treasury systems  Identify and resolve discrepancies impacting liquidity confidence and risk accuracy Support reconciliation processes and ensure audit‑ready completeness of financial data Testing & Release Support with Treasury Assurance Ensures Treasury readiness and outcome protection for system changes and SaaS releases.  Support execution of business testing, UAT, and regression testing  Validate operational outputs resulting from system changes  Assist in business readiness checks prior to release or cutover Essential  2–5 years' experience in 1st / 2nd Line Treasury systems or financial systems support  Understanding of Treasury processes (payments, liquidity, settlements)  Experience with incident management and ITIL processes  Strong analytical and troubleshooting skills Desirable  Experience in FIS Integrity System  Basic SQL or data interrogation capability  Exposure to SWIFT, APIs, and integration technologies  Experience supporting UAT or testing cycles Qualifications  Degree in Finance, IT, or related discipline  ITIL Foundation (preferred) Experience with FIS Integrity or similar Treasury and Risk Management systems is highly desirable A proactive attitude and ability to adapt to a hybrid work environment This will be a hybrid role with 3 days in the office in Dublin Ireland. The salary for this role will be in the range £70K - £85K. Do send your CV to us in Word format along with your salary and availability.
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CDI

Offre d'emploi3rd Level Treasury Systems Support with FIS Integrity Treasury Application

Nexus Jobs Limited
Publiée le

£80k-100k
Grand Londres, Royaume-Uni
3 Level Treasury Systems Support with FIS Integrity Treasury Application Our Client is looking to recruit a Level 3 Treasury Systems Specialist will be responsible for the configuration, integrity, and controlled evolution of the Treasury Management System and its integrations, ensuring that all system changes are delivered safely, efficiently, and aligned to Treasury requirements. Technical Platform Management & Treasury System Integrity. Ensures integrity, resilience, and controlled operation of the Treasury platform, safeguarding payment execution, liquidity visibility, risk processing, and accounting accuracy.  Configure and maintain FIS Integrity TMS workflows, parameters, and reference data  Manage integration architecture across banks, trading platforms, ERP, and market data providers  Ensure system configuration aligns with Treasury processes, control standards, and SaaS constraints  Maintain technical documentation and configuration baseline to support audit and traceability Complex Issue Resolution & Treasury Risk Containment Contains and resolves high impact issues that threaten Treasury operational integrity, financial risk exposure, or regulatory compliance.  Diagnose and resolve high‑severity system and integration issues  Perform cross‑system root‑cause analysis covering data, configuration, and integration layers  Implement corrective and preventative actions to reduce recurrence of Treasury‑impacting incidents  Analyse incident trends to strengthen platform resilience and reduce operational risk Release & Regression Governance with Treasury Assurance Protects Treasury outcomes during change by ensuring releases are safe, controlled, and aligned to business risk.  Define regression testing scope based on Treasury risk and process criticality  Validate system changes prior to release against technical and control criteria  Approve production deployments and technical release readiness Ensure release execution meets governance, audit, and SaaS requirements Controls, Configuration & Audit Governance Ensures Treasury systems remain audit ready, controlled, and compliant with segregation of duties and access policies.  Maintain configuration standards and SoD controls  Monitor system access and privileged configuration changes  Support internal and external audits with traceable configuration and change evidence  Ensure ongoing compliance with Company control and governance framework Enhancements & Project Delivery Supporting Treasury Outcomes Delivers platform enhancements that improve Treasury efficiency, accuracy, and control without introducing operational risk.  Deliver system enhancements and configuration improvements  Support Treasury projects and platform upgrades  Translate approved functional requirements into robust system design aligned to SaaS constraints The role operates as the second line of defence for Treasury technology risk, safeguarding platform integrity and ensuring that system design, change, and configuration do not introduce financial, regulatory, or operational exposure to Treasury. :  System configuration supports business processes accurately  Changes are delivered safely without introducing risk  Integrations operate reliably across all connected systems  System behaviour is consistent and auditable  Release cycles are governed and aligned to Treasury operations The role acts as the technical control layer of the platform, ensuring that all system changes meet both operational and regulatory requirements. Must have the following:  1-2 years' experience 2nd/3rd Line Support capacity in FIS Integrity  Strong configuration and data model knowledge  Strong Treasury business operation understanding  Advanced SQL capability  Integration experience (APIs, SWIFT, SFTP, ERP)  Experience with SaaS release models Desirable  Experience with ATS or equivalent frameworks  Custom reporting and data modelling experience  Exposure to global Treasury implementations Qualifications  Degree in IT, Engineering, or Finance  Vendor certifications preferred This is a hybrid position with 3 days a week in the office in Central London. The salary will be in the range £80K - £100K. Do send your CV to us in Word format along with your salary and notice period.
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