
FX & Treasury Quantitative Analyst / Trader
- United Kingdom
- €2,200-4,000 per month
- Permanent
- Full-time
- Quantitative Analysis and Strategy:
- Analyse market data and customer transaction behavior using statistical methods to uncover trends and opportunities.
- Design, test, and implement automated FX trading strategies to enhance performance and reduce risk.
- Develop and maintain interactive dashboards (e.g., using Tableau or Power BI) to monitor trading metrics and market conditions.
- Process Optimisation:
- Assess treasury and FX trading workflows, systems, and data to identify inefficiencies and propose automated solutions.
- Optimise processes to improve operational efficiency and mitigate financial risks.
- Reporting and Insights:
- Produce regular reports on FX trading and treasury performance, leveraging quantitative analysis to provide actionable insights.
- Evaluate banking and hedging partners' performance to minimise risks.
- FX Trading and Risk Management:
- Support the execution of FX hedging transactions and management of FX risk exposure.
- Use modelling to inform trading decisions and risk strategies.
- At least 3 years' experience in a financial institution or fintech, ideally within a Treasury or FX trading team.
- Proficiency in statistical analysis and modeling using Python, R, or similar tools.
- Strong coding skills in SQL, VBA and/or Python for data analysis and automation.
- Experience in employing AI/ML tools in data analysis.
- In-depth understanding of FX markets and products (spot, forwards; options a plus) and treasury instruments.
- Experience with FX trading platforms (e.g., 360T, FXALL, FXGO).
- Advanced proficiency in Excel and data visualization tools (e.g., Tableau, Power BI) for building dashboards.
- Exceptional ability to analyse complex datasets, identify patterns, and solve problems quantitatively.
- Thrives in a fast-paced environment with shifting priorities.
- Strong verbal and written communication skills with a high sense of accountability.
- Knowledge of asset and liability management (ALM) or risk management (liquidity, interest rate, or credit).
- Familiarity with other treasury products (e.g., money market, repo)
- Advanced quantitative and statistical analysis.
- Expertise in developing algorithmic trading strategies and data visualisations.
- Ability to translate complex financial data into clear, actionable insights.
- Strong collaboration and communication across technical and non-technical teams.
- Competitive Salary: Starting from €2,200 - €4000 (gross) per month, depending on experience. Salary is just one part of the conversation - if you're excited about the role but the range feels slightly off, don't hesitate to apply. We're open to discussing based on your experience and potential.
- Comprehensive Benefits: Including a generous holiday allowance, competitive healthcare insurance, and a wellbeing package from day one.
- Annual Development Budget: €1,000 to invest in your personal and professional growth.
- Hybrid Working Environment: Flexibility to work from home and in the office, with most team members in the office two days a week.
- Pet-Friendly Office: If you're near one of our offices, bring your furry friend along!
- Inclusive Culture: Regular in-person events, fostering a strong sense of community and collaboration.
- Empowerment and Ownership: We believe in empowering our people to take initiative and drive meaningful change.