Job Description

AudaCity Capital is a progressive and flourishing prop trading firm, and trading education provider. We are based in London, and at the moment have a team of highly trained properly trading professionals, managing the company’s extensive funds on our City of London based trading floor.We believe that the only way to be a winner in our industry is to invest heavily in talented people who want to grow with us. We are seeking like-minded professionals to develop their skills and enable them to join our team.We trade on all major asset classes on multiple exchanges with our own capital and do not handle any client funds or have customers. By becoming a member of the team, you become part of our success. We are market leaders because we have always had an internal vision to promote a strong entrepreneurial working culture.Our mission statement is to mix a strong base of intellectual capital with state-of-the-art technology, to build for the future. Our trading has a unique combination of skills, talent, and industry-leading software, which has been produced in-house by the company development department.Strict, Prudent Risk ManagementYou can have guts, but not glory, if you don’t back your trading moves with proper management practices. That’s why we treat risk management with the utmost seriousness …

The Role

Responsibilities

  • Daily Monitoring & Analysis:
  • Track daily FX exposures across various business units and entities.
  • Monitor FX rates and market movements for potential impacts.
  • Analyze actual vs. forecasted FX gains/losses and investigate variances.
  • Prepare daily/weekly/monthly FX exposure reports.
  • Risk Identification & Assessment:
  • Assist in identifying FX risk factors across the organization’s operations.
  • Quantify and assess the potential impact of FX fluctuations on profitability and cash flows.
  • Contribute to the development and maintenance of FX risk assessment methodologies.
  • Hedging & Mitigation:
  • Support the execution of FX hedging strategies, including forwards, options, and swaps.
  • Monitor hedge performance and effectiveness.
  • Assist in the development and implementation of hedging policies and procedures.
  • Reporting & Communication:
  • Prepare regular reports for management on FX exposures, hedging activities, and risk metrics.
  • Communicate effectively with various stakeholders, including finance, treasury, and business units.
  • Policy & Procedure Development:
  • Contribute to the development and maintenance of FX risk management policies and procedures.
  • Ensure compliance with internal controls and regulatory requirements.
  • Systems & Technology:
  • Utilize treasury management systems and other relevant tools for data analysis and reporting.
  • Assist in the implementation and maintenance of FX risk management systems.

Ideal Profile

  • You have at least 3 years experience including solid experience in a similar role within Financial Services.
  • You have working knowledge of dealer and risk manager
  • You pay strong attention to detail and deliver work that is of a high standard
  • You are highly goal driven and work well in fast paced environments
  • You possess strong analytical skills and are comfortable dealing with numerical data

What’s on Offer?

  • Work in a company with a solid track record of performance
  • Leadership Role
  • Attractive Salary & Benefits