Job Description
A global investment bank is currently recruiting for a Business Manager within Global Markets on a permanent basis.
The role is based in Liverpool Street and includes hybrid working with 3 days on site required per week.
Joining be joining the FX BM team based in London and reporting to the Global FX COO, you would benefit from a strong exposure to Global Markets commercial and trading initiatives and involves interacting with senior Trading and COO members.
You would also be responsible for supporting the FX business line Heads of desks and FX trading teams, facilitating business activity, acting as a contact point for queries relating to support and control from the business group as well as controlling and supervising the activity of the group.
They are quite open to the types or profile they will consider and would welcome applications from other divisions such as audit, risk or even middle office. Ideally they want someone who has worked in or close to front office. French Speaking to a professional level is essential.
Key Responsibilities
* Manage day-to-day queries from various Businesses and Functions
* Participate and maintain proper FX Governance, to lead commercial initiatives and to complete transversal projects
* Help manage and conduct ongoing controls such as the FX Remediation Plan.
* Act as backup of the FX Business Manager in attendance of FX Governance meetings and committees, if needed.
* Perform daily FX P&L production and related commercial analyses for the Forex Management
* Collect P&L data for the day, challenge the data sources and chase inconsistencies, and produce the official Front Office Global P&L on Forex.
* Perform ad hoc analysis on results, commercial margins, etc. through Business Objects and existing reports.
* Respond to enquiries of GMD Permanent Control, RPC Permanent Control and Audit
* Conduct investigations on trades with negative mark-ups in collaboration with GMD Permanent Control team.
* Conduct investigations and checks following up on Audit open recommendations.
* Help in reviewing, updating, maintaining and implementing Policies and Procedures of Global FX
* Ensure the FX rules and procedures are in line with new recommendations under FCA Remediation Programme, and new FX markets best practices.
* Challenge the existing practices and help the FX Business Manager apply remediation actions to comply with the intent of FX Policies & Procedures.
* Help circulate the new regulatory culture in Foreign Exchange to FX staff.
If you have the right skills and experience for this role, APPLY NOW and we’ll be in touch.