Trading / FX
Cash Liquidity Analyst.
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Alice Akere
NEED SOME HELP?
FRANKFURT
PERMANENT
COMPETITIVE
One of top Asset Management companies is looking for a new colleague as Trading/FX -Cash Liquidity Analyst.
Responsibilities:

  • Execute on time and to high quality standards FX hedges
  • Ensuring transparency of P&L, cash and IR effects related to FX and alignment with all relevant departments
  • Enhancing exposure, hedging, and reporting methodology and related processes
  • Providing user acceptance testing
  • Analysing respective system implementation, specifying change requests and new requirements

Requirements:

  • Excellent analytical skills, a structured approach to complex issues and paying attention to detail
  • Significant experience in risk management, in particular with regard to FX risk and cash liquidity risk and an understanding of commodity trading, trading life cycle and financial/ physical instruments
  • Excellent oral and written communication skills (English)
  • Strong quantitative skills
  • Well-organized and reliable person with an accurate working style
  • Driven and self-motivated person
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CONTACTS
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contact@albertcliff.com
+44 203 858 9200

59–60 Russell Square,
WC1B 4HP
London
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