Junior Treasury FX TraderEbury Leon - Hybrid: 4 days a week office based working, 1 day working from home.Ebury is seeking an efficient, detail-oriented Junior Treasury FX Trader that will be part of the Central Desk of Ebury Group Treasury, interacting constantly with the Foreign Exchange dealing floor, our banks and brokers, and playing a key role in our performance.You will be risk-managing the order book effectively, quoting FX cash prices and live FX derivatives with our floor pre-execution.You will be executing cash market orders and FX derivative orders.You will be responsible for selecting an optimal FX solution in all instances and currencies, maximizing the profitability of the FX trading proposition of Ebury in a controlled and scalable manner.Develop strong relationships and provide Ebury's dealing floor across the globe with the best FX pricing alternative.Act as the primary escalation point across the dealing floor for pricing issues and incidents arising with the hedging relationships.Generate detailed MI reports on the P&L of those relationships.Collaborate and work closely with the Dealing, Product, and Treasury teams to develop the right opportunities and capabilities.Identify opportunities and propose changes to contracts with Ebury's banking partners.About youWe are looking for an individual with drive and passion who is eager to help us take Ebury to the next level.Experience as an FX trader managing a book or in dealing support execution roles in a fintech or bank is a big plus.Education in economics or a quantitative degree; CFA and similar qualifications will be valued.IT FO platform skills experience will be valued.Strong communication skills and an ability to build and leverage cross-functional relationships.High level of Microsoft Excel/Google Sheets.Proactive attitude with attention to detail.High level of English.#J-18808-Ljbffr