to join a global financial technology firm that provides advanced FX and multi-asset trading, aggregation, and workflow automation solutions for institutional clients.
The ideal candidate will have a strong understanding of
FX liquidity
, electronic trading workflows, and multi-bank connectivity. You will work closely with liquidity providers (banks and non-banks), clients, and internal technology teams to ensure optimal pricing, execution quality, and client experience.
Key Responsibilities
Relationship & Liquidity Management
Maintain and develop strong relationships with
banks, non-bank liquidity providers, and prime-of-prime partners
.
Oversee liquidity performance (pricing quality, spreads, fill rates, rejects) and ensure consistent optimization across client pools.
Conduct regular reviews and discussions with LPs to negotiate streams, tiers, credit lines, and configuration parameters.
Client Engagement
Work directly with institutional clients (brokers, asset managers, banks) to understand liquidity needs and execution issues.
Support clients during onboarding, pricing model setup, and troubleshooting execution behaviour.
Provide guidance on best-practice liquidity configurations, routing logic, and market-making interactions.
Technical & Analytical Responsibilities
Monitor real-time and historical execution metrics: slippage, response times, rejects, last-look, spread comparisons, and toxicity trends.
Collaborate with product and engineering teams to improve liquidity tools, analytics, and routing behaviours.
Analyse market micro-structure events and share insights internally to enhance liquidity strategies.
Operational Excellence
Ensure reliable, continuous liquidity availability across all supported assets (FX, CFD indices, commodities, crypto, etc.).
Drive issue resolution between LPs, clients, and internal technical support.
Prepare regular liquidity and performance reports for management and strategic partners.
Requirements
Experience
4-8+ years in
FX liquidity management, electronic trading, prime services, ECN/aggregator platforms, or trading-technology providers
.
Prior exposure to global banks, non-bank market makers, PoP liquidity providers, or institutional brokers.
Experience working with
Strong understanding of FX pricing, spreads, last-look, routing logic, credit allocation, and execution quality metrics.
Ability to interpret trade-flow data, latency figures, and execution patterns.
Excellent relationship-building and communication skills with both clients and LPs.
Ability to collaborate across commercial, operations, and technical teams.
Nice to Have
Knowledge of risk-offset workflows and hedging logic used by institutional brokers.
Familiarity with eFX platforms (e.g., ECNs, multi-bank APIs, bridge providers).
* Basic understanding of scripting/SQL for analysing trade data.
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