About the Role
You'll join a dealing desk at the heart of the firm's risk operation, managing FX exposure across all major currencies and watching the markets through every session. You'll build scripts, dashboards, and analytical tools that sharpen the team's edge, with your code running on live screens and your ideas moving the P&L. You'll coordinate the FX trading portfolio during your session, monitor market movements and news, and manage risk through positioning within approved limits and policies. You'll prepare daily reports for stakeholders, run analytical work on related business areas, and work closely with senior dealers on trade supervision and risk strategy. You'll also support ad-hoc projects and operational initiatives as needed.
Requirements
- Bachelor's in Finance, Mathematics, Economics, Computer Science, or a quantitative/IT discipline
- 1–3 years in financial services or the FX/CFD industry
- Comfortable with programming or scripting in any language
- Familiarity with MT4/MT5 trading platforms and bridge systems is a strong advantage
- Genuine interest in financial markets and market microstructure
- Solid numerical and analytical skills
- Strong communication and interpersonal skills
Responsibilities
- Build scripts, dashboards, and analytical tools that sharpen the team's edge
- Coordinate and manage the FX trading portfolio across all currencies during your session
- Monitor market movements and stay on top of news, the economic calendar, and sudden events
- Manage risk through positioning and trading within approved limits, policies, and procedures
- Prepare daily reports for stakeholders and bring sharper ways to present what matters
- Run analytical work on related business areas as requested by the senior team
- Work closely with senior dealers on trade supervision and risk strategy alignment
- Support ad-hoc projects, analyses, and operational initiatives as assigned