Treasury Dealer
This dynamic trading position centers on emerging markets and less liquid currencies. Reporting to the Head of FX & Treasury, you’ll oversee real-time trading activities, negotiate deals with partners, and refine bid-ask spreads. The key challenge-and opportunity-of this role is to create a fluid and efficient market in areas with limited liquidity. You’ll be at the core of our FX operations, making a significant impact in a fast-paced, high-growth setting.
FX Dealing:
- Continuously manage and update bid-ask spreads for various currencies.
- Execute trades with liquidity providers to secure optimal pricing.
- Monitor FX markets, focusing on thinly traded and emerging market currencies.
Trading Support:
- Assist the Head of FX & Treasury in managing positions and exposure.
- Coordinate post-trade activities with the back office and operations team.
- Ensure disciplined execution across all trades and monitor for slippage.
Partner and Customer Interaction:
- Maintain communication with liquidity providers for precise execution.
- Support internal teams with pricing and trade execution for customer transactions.
- Facilitate smooth operations between client-facing and trading activities.
Reporting and Monitoring:
- Track daily trading activity and margins.
- Identify anomalies and suggest improvements for pricing and execution models.
Qualifications:
- Previous experience in FX dealing, trading, or treasury operations.
- Preferably experienced with emerging market currencies or less liquid FX pairs.
- Strong understanding of bid-ask mechanics and FX pricing.
- Excellent numerical skills and attention to detail under pressure.
- Comfortable working in fast-paced, high-responsibility environments.
Please note our advertisements use PQE/salary levels purely as a guide. However, we are happy to consider applications from all candidates who are able to demonstrate the skills necessary to fulfil the role.
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