Liquidity and Pricing Specialist

New
Germany, Netherlands, Switzerland, United Kingdom, United StatesFull-TimeMiddle
Salary not disclosed
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Job Details

Experience
3+ years
Required Skills
Microsoft ExcelGoogle Sheets

Requirements

  • 3+ years of experience in corporate treasury, liquidity management, FX trading, or pricing analysis.
  • CFA designation or active progress toward completion is highly preferred.
  • Strong understanding of African foreign exchange markets, liquidity constraints, and cross-border payment dynamics.
  • Basic to intermediate understanding of virtual assets and stablecoins.
  • Advanced proficiency in Google Sheets/Excel for complex financial modeling.

Responsibilities

  • Set, monitor, and optimize FX and stablecoin exchange rates offered to customers in real-time.
  • Manage spreads, margins, and pricing logic across multiple African corridors.
  • Analyze trading volumes and market volatility to adjust pricing models dynamically.
  • Forecast daily cash flows and liquidity needs by corridor, currency, and product.
  • Monitor counterparty exposure, settlement risk, and concentration risk.
  • Build and maintain complex financial models to track treasury performance.
  • Provide reporting to leadership on margin performance and liquidity bottlenecks.
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