The role focuses on delivering bespoke risk management and investment solutions to sophisticated institutional clients across the UK, Europe, and Americas
Job Summary
The role focuses on delivering bespoke risk management and investment solutions to sophisticated institutional clients across the UK, Europe, and Americas.
Candidates will be responsible for originating, structuring, and executing complex FX and macro strategies including hedging and capital optimization.
The position offers a competitive salary, up to 12.5% pension contributions, 30 days of holiday, and comprehensive private medical insurance benefits.
Matching Summary
The role focuses on delivering bespoke risk management and investment solutions to sophisticated institutional clients across the UK, Europe, and Americas.
Salary
Competitive salary; Discretionary performance-related annual bonus; Pension up to 12.5%; 30 days holiday plus bank holidays
Skills & Requirements
Must-have
FX and Macro Structuring expertise
Institutional client relationship management
Derivatives pricing and trade analytics
Hedging strategy development
Regulatory compliance knowledge
Nice-to-have
Programming skills in Python or VBA
Additional language skills like Spanish
Experience with cross-border transactions
Strong quantitative problem-solving
Commercial mindset with creativity
Key Requirements
Degree in Finance, Mathematics, Engineering, Economics, Physics or quantitative subject