FX Analyst
We are seeking an experienced FX Dealer/Trader to join our Treasury team. This role combines analytical expertise with practical trading experience to manage currency risk and optimise foreign exchange operations for our cross-border logistics business. The position plays a crucial role in supporting our international operations and maintaining profitability across multiple currency corridors.
Key Responsibilities:
Develop and maintain financial models to forecast currency trends and impacts on business operations
Monitor and analyze currency market movements affecting key trade corridors
Prepare regular reports on currency exposure and risk metrics
Analyze historical FX data to identify patterns and opportunities for cost reduction
Evaluate and recommend hedging strategies based on market analysis
Execute FX trades (including forward contracts & swaps) across multiple currency pairs to support global operations
Manage daily currency positions and ensure adequate liquidity in required currencies
Implement hedging strategies to protect against adverse currency movements
Monitor and manage counter party relationships with banking partners
Maintain detailed records of all trading activities and positions
Bachelor's degree in Finance, Economics, or related field
Minimum 5 years of experience in FX trading or analysis
Experience with financial markets and international banking
Proven track record in risk management
Experience with treasury management systems & trading platforms
Competitive Salary
Growth Opportunities
Health Benefits