Business Analyst - FX Trading, Execution & Risk
Global Investment Bank
London based with 3 days in office
12 month contract (rolling)
Programme aim is to drive optimization of their FX trading operations through strategic analysis, solution design, and delivery.
Your Key Responsibilities:
* Conduct in-depth analysis to identify opportunities for improved execution and risk control
* Collaborate with trading, risk, and IT stakeholders to gather requirements and translate them into technical specifications
* Oversee implementation of enhanced FX trading and execution capabilities
* Evaluate the impact of solutions on trading performance and risk
What We're Looking For:
* Significant years of business analysis experience in banking/financial services
* Expertise in FX trading, execution, and risk management
* Good experience with pricing (Price Construction/Price Acceptance)
* Strong understanding of Smart Order Routing & Automated Risk Management
* Any familiarity with Fluent Technologies or OneZero platforms is desirable.
* Strong analytical and communication skills to influence stakeholders
McGregor Boyall is an equal opportunity employer and do not discriminate on any grounds.