Book FX trades into Wealth Management and Global Market systems
Notify Front Office and Operations of new FX trades booked
Manage lifecycle events for FX Accumulators/Structures: generate fixing notifications, notify Front Office of fixing outcomes, book fixing outcome to systems (Marginman)
Generate and upload Money Market rates to systems (BVE, Cortex FX)
Generate and export Fixed Income Pricing to Access Database for FO recommendation
Job Requirements
Knowledge of FX markets and products (especially Options and Accumulators)
Competence with MS VBA, Excel, Access
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