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You will be updated with latest job alerts via emailYou will help us manage group wide FX risks & exposures and manage liquidity trades to ensure we have money where our customers need it
Manage the day-to-day FX Trading & hedging activities involving our correlation strategy across FX products Spot Forwards & NDFs in the European timezone.
Working closely with Treasury Liquidity Operations to optimise funding accounts in EU time zone
Be a point of contact and help manage relationships with our panel of international banks and counterparties across the EU region. Ensuring we are constantly negotiating on price and optimising for both price and broader relationship whenever we trade
Take part in initiatives aimed at making upgrades to our dealing approach policies tooling controls and systems
Build and deliver analysis and reporting on dealing activities with monthly improvements as the role evolves
Within our Markets area we also manage our cash and asset book of GBP15bn this role has opportunities to work closely with this team
Be part of the teams bigger projects rolling out new currencies and products ensuring Treasury can manage the risk efficiently in time for new launches
Working closely with our product team on initiatives to automate risk management and funding strategies once proven
Working closely with the risk teams within 1st and 2nd lines to help build a more robust control frameworks
Skills needed:
Experience in a buy/sell side FX dealing environment and/or Treasury functions.
Experience with a broad range of currencies. Experience with Asian Exotics or emerging markets is an added advantage
Confident dealing spot forwards & swaps to manage live exposures. Experience dealing NDFs is an added bonus
Good communication skills to maintain and grow relationships with our banks and counterparties
Proficient prioritiser - you make the right decisions on how to allocate time and effort
Ability to absorb large quantities of detail quickly and communicate complex ideas to various crowds
Open approach to problem solving in a fast paced environment
Some extra skills that would be great (but not essential):
Experience or interactions in the payments industry/fintech space
Experience with settlements and operating teams will be valuable
Experience with Asset Management execution (Bonds MMFs etc)
ACT Qualifications or equivalent
Science / Engineering / Maths graduate preferred
Excel VBA Python Java C or coding is a bonus
Additional Information :
For everyone everywhere. Were people building money without borders without judgement or prejudice too. We believe teams are strongest when they are diverse equitable and inclusive.
Were proud to have a truly international team and we celebrate our differences.
Inclusive teams help us live our values and make sure every Wiser feels respected empowered to contribute towards our mission and able to progress in their careers.
If you want to find out more about what its like to work at Wise visit .
Keep up to date with life at Wise by following us on LinkedIn and Instagram.
Remote Work :
No
Employment Type :
Full-time
Full-time