Bachelors Degree in Finance, Economics, Mathematics, or closely related quantitative field, plus five years of progressive postBachelors experience in the offered position or in a foreign exchange trader role at a global bank or financial services firm.br br All required experience must have included conducting market making, forecasting market movements, risk managing, and pricing and trading G10 foreign exchange investment products, including FX spots and forwards; speaking with corporate and institutional clients regarding trading views and execution; providing written commentary about markets and economic events for internal and external use; applying understanding of interest rate futures and CME FX Futures; building curves to publish prices electronically in forwards and NDF; applying understanding of electronic spot market making, execution and algorithmic trading; managing projects, designing electronic trading systems and testing products UAT; and conducting data analysis of client flows to understand where improvements can be made to pricing and revenue generation.br br This role entails hybrid work, with time split between working in our New York City office and flexibility to telecommute from another U.S. location.
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