Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
You will monitor liquidity and execution quality across FX and CFDs, optimise bridge configurations, and maintain primary and backup liquidity arrangements. You will assess liquidity-provider performance, investigate trade and pricing incidents, document controls, build pre- and post-trade analytics, and turn findings into measurable execution improvements.
Requirements
- 5 or more years of experience in liquidity management, electronic execution, market operations, or a related FX and CFD role
- Understanding of market microstructure and execution metrics
- Experience with oneZero or comparable bridge and liquidity-management technology
- Experience assessing liquidity-provider performance and managing primary and backup liquidity
- Advanced SQL and Python skills
- Experience analysing high-volume tick, pricing, and trade data
- Ability to investigate complex execution issues independently
- Communication skills for liquidity providers and internal stakeholders
Responsibilities
- Monitor market conditions and take corrective action for pricing or execution deterioration
- Optimise bridge configurations, routing, filters, failover logic, throttles, and mark-ups
- Maintain primary and backup liquidity arrangements
- Assess liquidity-provider performance and maintain scorecards
- Lead liquidity-provider performance reviews and investigate issues
- Investigate pricing and trade incidents and implement preventative controls
- Document configurations, incident findings, and operating procedures
- Build and maintain pre- and post-trade analytics and monitoring
- Translate findings into configuration or liquidity-provider management changes and validate impact
Benefits
- Performance-based bonuses
- Health and wellness benefits
- Flexible working arrangements