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Job details:
This role is for someone who understands that FX trading is not just theory—it’s execution, monitoring, and discipline in real-time environments.
You’ll be responsible for supporting trading operations, managing exposure, and ensuring systems and pricing behave as expected. If you’re expecting a “learn-on-the-job from scratch” role, this isn’t it—you need baseline familiarity with FX markets and trading platforms.
Key Responsibilities- Monitor and manage real-time trading activity across platforms
- Execute basic risk management and hedging actions within defined thresholds
- Support liquidity monitoring and assist in optimizing pricing spreads
- Track trading sessions and escalate connectivity or pricing issues
- Maintain accurate trade logs and perform daily reconciliations
- Identify irregular patterns (latency, toxic flow, abnormal execution behavior)
- Assist in improving execution logic via routing or configuration tools
- Work with tech teams on system setup, testing, and troubleshooting
- Communicate with external partners when required
Requirements- Fluent English communication (written and spoken)
- Availability to work London and US market hours
- Basic understanding of FX instruments (spot, forwards, swaps)
- Experience using trading platforms (e.g., MetaTrader or similar)
- Familiarity with A-Book / B-Book models
- Understanding of liquidity providers and pricing flows
- Strong analytical skills; comfortable with Excel (Pivot Tables required)
- High attention to detail and ability to detect inconsistencies
- Clear and proactive communication when escalating issues
Nice to Have (Not Mandatory):
- Exposure to tools like Centroid or similar
- Basic understanding of FIX protocol
- Familiarity with platform admin/configuration
- Basic scripting or API usage (Python, SQL, Postman, Excel APIs)
- Ability to read logs or use command-line tools
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