Our client who is a FinTech company is fundamentally changing the payments scene by delivering a brand-new concept of a cloud-based web service. This allows them to engage with the customers and provide them with the best pricing while maintain the same reliability and security.
They are now looking for someone to come onboard and take up responsibility for all cashflow through the client’s network and FX trading.
- Operate and design the global liquidity operating model to ensure trade and payment delivery times
- Build and manage relationships with a range of partners (liquidity & trading) to ensure smooth operations
- Monitor FX risk and take action to soften any exposures in line with agreed terms and conditions
- Deliver and design product improvements and network expansion.
- Strong FX risk management where exposures identified and acted upon
- Liquidity blueprint model designed within 100 days
- Relationships in place with liquidity/trading partners
- Exposure of delivering product improvement/network expansion