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About the Role
- Book FX trades into Wealth Management and Global Market systems
- Notify Front Office and Operations of new FX trades booked
- Manage lifecycle events for FX Accumulators/Structures: generate fixing notifications, notify Front Office of fixing outcomes, book fixing outcome to systems (Marginman)
- Generate and upload Money Market rates to systems (BVE, Cortex FX)
- Generate and export Fixed Income Pricing to Access Database for FO recommendation
- Knowledge of FX markets and products (especially Options and Accumulators)
- Competence with MS VBA, Excel, Access
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