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