We are seeking an experienced Forex Analyst / Trader to join our Treasury team. This role combines analytical expertise with practical trading experience to manage currency risk and optimise foreign exchange operations for our cross-border logistics business. The position plays a crucial role in supporting our international operations and maintaining profitability across multiple currency corridors.
Key Responsibilities :
- Develop and maintain financial models to forecast currency trends and impacts on business operations
- Monitor and analyze currency market movements affecting key trade corridors
- Prepare regular reports on currency exposure and risk metrics
- Analyze historical FX data to identify patterns and opportunities for cost reduction
- Evaluate and recommend hedging strategies based on market analysis
- Execute FX trades (including forward contracts & swaps) across multiple currency pairs to support global operations
- Manage daily currency positions and ensure adequate liquidity in required currencies
- Implement hedging strategies to protect against adverse currency movements
- Monitor and manage counter party relationships with banking partners
- Maintain detailed records of all trading activities and positions
Requirements
Bachelor's degree in Finance, Economics, or related fieldMinimum 5 years of experience in FX trading or analysisExperience with financial markets and international bankingProven track record in risk managementExperience with treasury management systems & trading platformsBenefits
Competitive SalaryGrowth OpportunitiesHealth Benefits