.Net Developer.

Publicerad:
2018-09-07
Omfattning:
Heltid
Kontakt:
Ercan Bahar
Telefonnummer:
0722467409

Detaljer

Publicerad:
2018-09-07
Ort:
Stockholm, Stockholms län
Kategori:
IT
Specialisering:
Utveckling
Omfattning:
Heltid
Referensnummer:
201166860
Sista ansökningsdag:
2018-10-01
Kontakt:
Ercan Bahar
Telefonnummer:
0722467409

Beskrivning

.NET developer to RPM, Risk & Portfolio Management
Ever considered working within the financial industry? Now is the time!

We are looking for a skilled developer that are interested in working in the financial business and already have some skills and experience as a professional. You should have the ability to work independently but at the same time communicate, interact and collaborate with the small cohesive team. We will give you the opportunity to excel in your career in a flexible and fast-paced workplace!

Role description
As a .NET developer you will be responsible for managing the existing systems and producing reports for our clients. You will also be involved with developing new features to our platform and eventually being part of a change to a brand new platform.

Our requirements:
• Experience in working with C#, .NET, SQL
• Professional proficiency in English
• Permanent residency in Sweden

Meritorious:
• Experience in frontend development (ASP.NET, HTML, CSS)
• Swedish proficiency

As a person we expect you to be motivated, responsible and selfdriven. The development team is small therefore is it important that you can handle several tasks at the same time and to act as a teamplayer. You should also have good communication skills.

The offer:
• Central office location
• Working in a fast paced environment and collaborating with motivated colleagues
• The ability to be creative and independent in your work
• Great benefits and sport activities

More information
This recruitment is handled by Dfind IT. If you have questions about this position, contact Ercan Bahar Senior Recruitment Consultant ercan.bahar@dfind.se 072-246 74 09

About RPM

Like most investors, we strive to maximize risk- adjusted returns on the assets we manage. But we do it differently than most.

We manage portfolios of investment strategies that generate returns from major price moves in financial and commodity markets throughout the world.

The strategies are transparent, liquid and conceptually simple. We stay away from lock-ups, credit risk, illiquidity, secrets and things we do not understand.

We make money when markets move - up or down.