Treasury Markets Manager - FX
Core
Manage group-wide FX risks and liquidity trades to ensure funding availability for customers, leading a global risk management team.
Role type
Senior IC Treasury Markets Manager (FX)
Builds
Global FX hedging strategies, risk management frameworks, and funding solutions for customer balances.
Domain
Financial Services / Foreign Exchange / Treasury
Deliverable
production ML models | product features | dashboards & analysis | client delivery
Required skills
FX trading experience, risk management, liquidity management, team leadership, stakeholder management, market analysis, relationship management, policy development, reporting
Preferred skills
Emerging Market or APAC currency expertise, broader Treasury experience, automation of risk/funding strategies
Technologies
Spot, Forwards, NDFs, Wise Platform
Responsibilities
Manage day-to-day FX trading hedging activities and strategies for a global book of FX exposures; assess risk over upcoming market events and product launches; optimize funding and reduce Treasury costs with banking partners; bridge opportunities between FX Markets and Cash/Asset Management teams; manage relationships with international banks and counterparties; support product teams with Treasury solutions for new currencies; participate in Market Risk Committees; build and deliver analysis and reporting on dealing activities; lead and coach a small London-based team