The Senior Analyst will support the FX trading operations, end to end market risk management, origination forecasting, liquidity management, and front office treasury solutions
6 Months Freelancing Position (extensions available)
Must be able to go on-site 2 days per week in Brussels
Your Profile:
Proven ability to define problems, collect data, establish facts, and draw valid conclusions
Excellent analytical and problem-solving skills; experienced with MS Excel and PowerPoint
Able to prioritize work; and manage projects in addition to day-to-day responsibilities
Prior experience with FX market and Treasury is a plus
Daily Tasks:
Best in class execution of daily FX trades
Daily forecasting and positioning of local currency liquidity to ensure smooth settlement of FX trades and continuity of customer pay-outs.
Analysing historical trends and overarching FX trading strategies across all markets through creation of models that forecast pay-out patterns and daily originations
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