Overview
Role leading daily FX trading and treasury management in a fast-growing start-up.
Ideal candidate has 6+ years of FX trading experience and a high-performance background.
hybridseniorpermanentfull-timeEnglishFrenchExcelGoogle Sheets
Locations
United Kingdom, England, London France, Île-de-France, Paris
Requirements
Previous FX trading experience Ability to work autonomously Comfort with large datasets in Excel/Google Sheets Willingness to travel at least once a month
Responsibilities
Lead daily FX trading activities Optimize treasury management Source and onboard FX partners
Benefits