Join a high-impact Currency Management team where you will play a central role in managing FX exposure across global investment portfolios. This is an opportunity to work closely with Portfolio Managers and senior stakeholders, contributing to investment outcomes through precise FX execution, analysis, and risk management.
Key Responsibilities
Monitor fund holdings, cash positions, and portfolio instruments across multiple asset classes
Manage FX exposure to ensure alignment with regulatory requirements and internal guidelines
Generate FX orders (spot, forward, NDF) to maintain target currency positions
Partner with Portfolio Managers and internal teams to implement FX strategies
Analyse hedged product performance and investigate variances
Support fund launches, closures, and ongoing strategic initiatives
Identify and implement process improvements to reduce operational risk
Produce and present management information, highlighting trends and insights
Skills & Experience
3+ years’ experience in corporate treasury
Exposure to FX or risk management environments is preferred
Strong understanding of global markets and FX
Excellent analytical and numerical skills
Strong communication skills, with the ability to engage senior stakeholders
Detail-oriented with a risk-aware mindset
Experience with Charles River is beneficial
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