Global Head of FX Liquidity – Britannia Global Markets Limited
Project detail
THE COMPANY
Britannia Global Markets is a dynamic, fast-growing organisation that operates a full-service execution and clearing brokerage business covering Exchange Traded Derivatives, Cash Equities and Fixed Income, CFD’s and Foreign Exchange.
Overview
BGM looking for an experienced FX liquidity specialist to manage our LD4 and NY4 trading operations.
Responsibilities
Responsible for overseeing and the day to day function of the FX Liquidity team
Monitor the status of the liquidity base at all times and lead interaction with market makers and clients when needed.
Lead and manage troubleshooting of major client trading issues in conjunction with internal teams
Respond to ad-hoc queries from internal and external customers surrounding specific data requests.
Run historical analysis on transactional and quote data.
Responsible for driving more trading volume to BGM
Pro-actively seek new opportunities by identifying makers and takers that could be mutually beneficial to each other.
Attend client meetings to discuss platform wide and customer specific liquidity themes.
Partner with the the FX management team to derive the strategy and vision of the FX business.
Requirements
Significant Experience in FX electronic Trading.
A strong academic background with a Degree in Finance, Engineering, Mathematics or Statistics.
Knowledge of Matlab, R or Python and Excel (Preferable)
Proven track record of delivering results and building high quality customer relationships within a fast paced target driven environment.
Strong proven interpersonal skills
Strong troubleshooting, problem-solving and customer service skills.
Excellent leader and management skills
Strong written and verbal communication skills.
More than 06 months
Medium Level