Senior/Lead Full-Stack Developer (.Net+Angular)
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Project descriptionWe are looking for passionate and creative developers eager to craft innovative products and embrace new technologies. You will be part of a small, agile, and highly skilled team of technologists who are building next generation of solutions for Risk Management team and Portfolio Managers. To thrive in our team, you should possess an independent mindset while enjoying a collaborative working environment. We value candidates with full software lifecycle experience, encompassing requirements gathering, implementation, testing, release, and ongoing support.ResponsibilitiesCollaborate with business stakeholders to understand requirements and translate them into technical solutionsDesign, develop, test, deploy, and maintain scalable applications using C#/.NET and AngularEnhance and extend existing functionality based on user feedback and evolving business needsDevelop complex business logic and analytical calculations to support capital usage and scenario modeling workflowsBuild and maintain interactive data visualizations, reports, and chartsDevelop and integrate REST/ services and messaging solutions where requiredTroubleshoot, debug, and resolve production issues while ensuring high application availability and performanceParticipate in code reviews, technical design discussions, and continuous improvement initiativesWork closely with a small, cross-functional team to deliver high-quality softwareEnsure software quality through unit testing, integration testing, and adherence to engineering best practicesSkillsMust haveMinimum 7 years of software engineering experience, preferably within the hedge fund or financial services industryDeep expertise in C#/.NETAt least 4 years of frontend development experienceStrong knowledge of Angular and TypeScript, with hands-on experience within the last 3 yearsStrong understanding of computer science fundamentals, including algorithms and data structuresDeep understanding of object-oriented design and programming (OOD/OOP)Solid knowledge of SOLID principles and design patternsExperience with multi-threaded and concurrent programmingProven ability to design, build, and support scalable, high-availability applications in production environmentsStrong passion for backend architecture and application development, with a commitment to continuous learning and improvementExcellent written and verbal English communication skillsStrong collaboration and stakeholder management skillsIndependent, proactive mindset with a high level of ownership and accountabilityWillingness to work during EST time zone hoursNice to haveExperience with Portfolio and Risk Management systems (e.g., What-If analysis, scenario modeling, real-time pricing)Familiarity with financial instruments (equities, derivatives, fixed income, etc.)Strong grasp of RDBMS concepts, data modeling, and database designPractice of Test-Driven Development (TDD) and performance profiling across the stackOtherLanguagesEnglish: B2 Upper IntermediateSeniorityLeadRemote Spain, SpainReq. VR-**C#/VB.NETBCM Industry17/08/2026Req. VR-**
Requirements
Must have Minimum 7 years of software engineering experience, preferably within the hedge fund or financial services industry Deep expertise in C#/.NET At least 4 years of frontend development experience Strong knowledge of Angular and TypeScript, with hands-on experience within the last 3 years Strong understanding of computer science fundamentals, including algorithms and data structures Deep understanding of object-oriented design and programming (OOD/OOP) Solid knowledge of SOLID principles and design patterns Experience with multi-threaded and concurrent programming Proven ability to design, build, and support scalable, high-availability applications in production environments Strong passion for backend architecture and application development, with a commitment to continuous learning and improvement Excellent written and verbal English communication skills Strong collaboration and stakeholder management skills Independent, proactive mindset with a high level of ownership and accountability Willingness to work during EST time zone hours Nice to have Experience with Portfolio and Risk Management systems (e.g., What-If analysis, scenario modeling, real-time pricing) Familiarity with financial instruments (equities, derivatives, fixed income, etc.) Strong grasp of RDBMS concepts, data modeling, and database design Practice of Test-Driven Development (TDD) and performance profiling across the stack OtherLanguages English: B2 Upper Intermediate
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