Ebury Leon - Hybrid : 4 days a week office based working, 1 day working from home.
Ebury is seeking an efficient, detail-oriented Junior Treasury FX Trader to join the Central Desk of Ebury Group Treasury. The role involves constant interaction with the Foreign Exchange dealing floor, banks, and brokers, playing a key role in our performance.
Responsibilities:
* Risk-manage the order book effectively, quote FX cash prices, and handle live FX derivatives with the dealing floor pre-execution.
* Execute cash market orders and FX derivative orders.
* Select optimal FX solutions across all currencies to maximize profitability in a controlled and scalable manner.
* Develop strong relationships and provide the dealing floor with the best FX pricing options globally.
* Act as the primary escalation point for pricing issues and incidents related to hedging relationships.
* Generate detailed MI reports on the P&L of hedging relationships.
* Collaborate with Dealing, Product, and Treasury teams to develop opportunities and capabilities.
* Identify opportunities and propose changes to contracts with banking partners.
About you:
We seek an individual with drive and passion eager to help take Ebury to the next level.
* Experience as an FX trader managing a book or in dealing support roles within a fintech or bank is a plus.
* Educational background in economics or a quantitative field; CFA or similar qualifications are valued.
* Experience with IT FO platform skills is advantageous.
* Strong communication skills and ability to build cross-functional relationships.
* High proficiency in Microsoft Excel / Google Sheets.
* Proactive attitude with keen attention to detail.
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