Title: P&L Python developer Location: London, UK Type: Contract These will support core engineering streams, unblock current bandwidth constraints, and ensure continued delivery momentum within a fixed multi-year funding envelope. * 5+ years of strong Python development experience (optional Java) with demonstrable experience of having designed and developed complex server-side components. * Experience working in Financial Services specifically within markets in front office derivatives risk systems or pretrade/origination or post trade management systems. * Computer science or equivalent degree * Good understanding of Agile and Lean software development practices and associated tools * Preference for software engineers with strong finance/Risk/P&L domain knowledge, rather than heavy “pure quants”. * Ability to work in a fast paced environment liaising with demanding stakeholders to understand complex requirements, and be able to prioritize and work on issues on own. * Strong communication and presentation skills. Clear, Concise Communication skills, ability to articulate Problem/Solution. * Knowledge of Quartz technology stack * Pricing and Risk knowledge - structure and pricing of derivative products * Derivatives Risk domain knowledge (Greeks and Scenarios) * Equity Derivatives product knowledge (Futures, Options, Convertibles)