Responsible for quoting, market-making and executing FX spot and derivatives within authorized limits, managing liquidity and risk exposures. Develops trading strategies, tracks global macro trends, produces market reports and supports new currency pairs and structured products. Maintains counterparty relationships and contributes to trading, pricing and risk system development.
Core skills
FX spot tradingFX derivativesMarket makingTrading strategiesRisk managementStructured products
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