to helping to maintain and improve ETRM applications. The role requires deep insight into commodities trading and risk management; physical/paper exposure management, FX exposure, VaR, P&L valuation. The role can expand with time to bring exposure to other commodities, such as Crude, Oil Products, Biofuels, Refining and … develop further leadership accountabilities. As the Senior Commercial Risk Analyst, you will be: Responsible for the Gas, Power, LNG, Emissions, FX teams’ daily position and P&L reporting, providing commentary on key value generators and changes. Attributing and communicating in a meaningful way. Supporting more Junior analysts in their daily … Review trading books are within Trading Delegations of Authority, and to ensure the hedging is carried out correctly each day, including hedging of trading FX exposure. Perform or support team daily hedge processes as required. Provide and support Risk input to pre deal analysis for new business initiatives. Provide management more »
currency risk management specialist, we offer bespoke services alongside market leading technology for businesses and financial institutions. Argentex is listed on the London Stock Exchange, with offices in the UK, the Netherlands and Australia. The Role The role of Test Analyst will work as a part of a team … level, but a stand-out candidate would understand relational databases and the ability to query them with SQL or visual tools such as tableau. FX markets experience – spot, forward and options. Understanding of payment flows and SWIFT. Experience using Postman. ISTQB Certified (Level 1). Understanding of testing design patterns more »
experiences. Address and resolve build and deployment issues, ensuring seamless integration within the CI/CD pipeline. Leverage business domain knowledge in fixed income, FX, or equities to enhance application relevance and efficienc y. Requirements: Proven expertise in React development, including a deep understanding of the build and deploy process … frameworks and the ability to innovate testing processes Familiarity with Maven build and deploy, and continuous development cycles Business domain knowledge in fixed income, FX, or equities is highly desirable. Contract Rate: £750-£850pd - This is a PAYE contract via Umbrella. If this sounds like you, apply via the link more »
with the firms’ cost of carry framework; To accurately price liquidity costs, benefits and risks; and Ensure appropriate implementation and operational effectiveness of policies; FX Exposure: Monitoring of FX Exposures according to the firms’ FX risk appetite. Reporting/Communication: Report to the governing bodies, CFO, and CEO of the more »
daily positions/trades/cash reconciliations Trade Support – daily management of trade settlement and issue resolution Aid with all operational processes such as FX monitoring and hedging, subscription/redemption processes and performance monitoring Automating and optimising manual tasks as much as possible to reduce workload and improve efficiency … VBA Preferred experience from other funds (ideally equities) Diligent and energetic, hardworking and flexible enough to handle all issues and thrive under pressure Languages: foreign languages a plus more »
be ambitious and keen to drive value creation in a highly acquisitive environment. Role: Cashflow management is key. Handling all aspects of banking relationships. FX Hedging. Rollout of rigorous payments processes. Creation of KPIs. Management of the Accounts Payable team. Streamlining and improving processes across the business. Comprehensive credit control. … FC and CFO on ad hoc tasks. Requirements: Qualified Accountant (ACA/ACCA/CIMA) or Treasury Qualification. Extensive cash management experience. Experience with FX Hedging. Experience in a Treasury or Financial Operations role. Experience managing external banking relationships. Ability to get stuck in with processes while thinking critically about more »
Bank, seeks to hire an experienced Quant Analyst to join its expanding exotics business in London. You will model and price hybrid and exotic FX Options products globally, produce and deliver trading tools, as well as new payoff implementation. Keen to hear from quants working on hybrids, long-dated FX … models, pricers and payoffs into production KEYSKILLS & EXPERIENCE : 3-5 years in front office quant analytics, modelling, pricing, developing & support models A background covering FX Options & Exotics (long-dated FX or Hybrids) Experience developing pricing libraries in C# or C++ Experience supporting front office tools (e.g. Excel pricing sheets) Experience more »
ones, and presenting in-depth product briefs. The focus of the role will be to develop and broaden the range of participants, be that FX brokers, money transfer operators (MTOs), payment service providers, through to Tier 1 commercial banks. Key Responsibilities Product (Strategic and Implementation) Mapping and maintaining senior relationships … and liquidity management solutions; with reasonable technical understanding of payments (including international) and ideally treasury too. A strong knowledge of the cross-border Payments, FX and liquidity management industry, and the challenges it faces. Excellent communication skills – both written and verbal – in English A critical thinker – strategic and analytical. Data more »
management process Prepare daily cash position; invest/redeem funds ensuring investment diversification and compliance with the Global Cash Management Policy Process USD and foreign currency wire requests & reporting Team closely with US & global accounting teams to ensure accuracy and compliance with GAAP and internal accounting polices Help prepare … cash management policy Assist in annual compliance with FBAR reporting Provide support and back-up for various treasury operations including ForeignExchange (FX) trading using FX All platform Intercompany settlement process Please note that this position is not restricted solely to the responsibilities listed above and that the more »
GRADUATE FOREIGNEXCHANGE SALES The opportunity: An opportunity to enter the largest financial market in the world for a fast-growing Fintech company based in the City of London with offices worldwide. The company operates as a complete meritocracy, with commission incentives from the beginning and throughout your … eager to learn and financially motivated combined with a genuine interest in financial markets, you can kick start your career in the world of FX with the support of a fast-growing company and reap the financial rewards based on your performance. £30,000 - £35,000 base salary … first year OTE Key Words: Deliverable FX, Deliverable ForeignExchange, Sales, ForeignExchange, Equities, Derivate, Spot, Forward, Future, Option, Execution, Trade, Trader, Broker, Stock Broker, Corporate Sales, Trade Finance, Business Development, New Business, Lead Generation, Lead Generator, Account Manager, Solution Sales, Currency Consultant more »
low-latency front office applications supporting pricing, order management and execution for State Street’s very successful ForeignExchange Sales and Trading (“FX STR”) business. The team is based in London, Boston, Bangalore/Hyderabad, Hong Kong and Hangzhou and leverages agile software development methodologies. The technology is … of electronic market making, client algorithmic trading, pricing, order management and STP applications that form the core of the infrastructure for State Street's FX business. An important part of this role is the definition and maintenance of both an application and data architecture which is critical to supporting and … growing the scale of the FX STR business which has been consistently ranked #1 in the Euromoney survey for Real Money and Client Service and in the top 10 of all FX businesses. The Head of eFX Engineering will need to articulate the architectural vision of the program to senior more »
ensuring compliance with the Treasury Policy - Managing bank mandates so that access to bank accounts is restricted appropriately and efficiently - Leading the mitigation of foreignexchange risk through various means including natural hedging and financial instruments - Improving cash flow forecasting ad reporting for tactical and strategic decision making … you: You will be a hands-on treasury professional with experience of the core requirements of treasury, including but not limited to cash management, foreignexchange hedging, reporting, controls and forecasting, gained from within a FTSE250 or FTSE100 sized company. For the right candidate, this role is offering more »
is preferred but not required. Key Responsibilities: Work with trading team to design, enhance, and support mid and high frequency trading strategies, across Equities, FX, Commodities and Derivatives markets. Assist in monitoring and troubleshooting existing strategies Own the design and production implementation of new strategies Add capabilities to expand the more »
Your own unique style or way of working, which will make our team diverse and original. Why Travelex? To remain the world’s leading foreignexchange specialist, we are focused on making our customers’ lives simpler, more engaging and hassle free while they travel or move money abroad. … digital-first, greenfield products and services. And with the Travelex's resources, deep industry experience and leading brand we are inventing the future of FX, cross-border e-commerce and international payments. We are an equal opportunity employer and value diversity at our company. We do not discriminate on the more »
in a high level programming language such as Java Desire to work with new and emerging technologies Experience with Trading/Low-latency (Derivatives, FX, etc) Familiarity with Matching Engine components Build automated tests Collaborative nature, keen to deliver solutions in conjunction with Business Analysts and Senior Developers Up to more »
work in fast-paced environments. Effective communication and collaboration skills. Previous experience in algorithmic trading or software development preferred. Proficiency in options market in FX, Equities, Commodities or Cryptocurrencies Apply now for immediately consideration for this excellent Junior Trader opportunity! Understanding Recruitment is acting as an employment agency for this more »
in mind in terms of strategies and headcount for 2023. The fund's strategies focus on the major macro asset classes including interest rates, FX, equities, credit, and commodities in developed and emerging markets. Off the back of strong performance, the firm is looking to make a Risk Officer hire more »
London, England, United Kingdom Hybrid / WFH Options
Client Server
designing and developing research and live trading infrastructure at a buy-side firm (i.e. Hedge Fund or trading company), including experience in Futures and FX You have a strong knowledge of Linux OS/Systems Administration You have a good understanding of computer architecture, databases, real-time systems, distributed computing more »
effectively Develop QIS tools Strong python – starting to work more on their centralised systems. Fixed Income knowledge, Strong understanding of Swaps, Derivatives, Volatility, and FX Researching, designing fixed income quantitative investment strategies Running or able to run their your own franchise – develop, publish and be client facing This is an more »
strong core technical and business analysis skills to join a well-established yet rapidly evolving company. The client trades across Equities, Fixed Income, and FX On a day to Day basis the Technical Consultant will: • Install, deploy or configure the suite of Trading products. Integrate product solution with other systems. more »
Belfast, fscom has worked with some of the leading clients in the banking, capital markets, digital assets, fintech, fund and asset management, payment, and FX sectors. Our focus on being the leading subject matter experts in our field means that we have become widely recognised as the premier compliance consulting more »
efficiencies, developing the framework properly Have oversight over the day-to-day function, including all treasury movements Manage hedging to mitigate financial risks and foreignexchange positions Own and forecast cash flow position Manage investment of excess liquidity Own the company-wide banking & third party relationships Business partner more »
developing and implementing treasury strategies, overseeing cash management operations, and ensuring compliance with regulatory requirements. Key Responsibilities: Treasury operations; prepare, review & authorise daily settlements & FX trades. Undertake complex scenario modelling to anticipate settlement inflows/outflows and plan effectively. Design & automate financial control & bank reconciliation processes and ensure end-to more »
London, England, United Kingdom Hybrid / WFH Options
Client Server
Architecture within an Azure environment? You could be progressing your career in a senior, hands-on role at a hugely successful, global FinTech/FX brokerage as they scale, whilst enjoying a range of perks and benefits including 30 days a year work from anywhere. As a Data Architect and more »
is indirectly related to the treasury function. What You Bring to the Team: Experience in a treasury function, with understanding of treasury accounting including FX, liquidity, cashflow and various financial instruments. Knowledge of banking relationships and covenants. Strong communicator, decisive critical thinker. A go-getter. Pull together the simple story more »