Overview
As Treasury Manager in Wise’s Global FX Markets, you will steer group-wide FX risk management and liquidity execution from London, leading a growing global team. You’ll run hedging across Spot, Forwards and NDFs, collaborate with data analysts, and optimize funding with Treasury Operations. You’ll partner with Cash & Asset Management and banks to balance risk, yield, and costs, while contributing to policy upgrades and risk committees. This is a hands-on role with impact across product launches, currencies, and treasury solutions.
Responsibilities
- Manage day-to-day FX trading hedging activities across Spot, Forwards and NDFs in the London timezone
- Collaborate with Treasury Data Analysts & Scientists to assess risk around events, launches, and strategy performance
- Explore automation of risk management and funding strategies
- Optimize funding and reduce Treasury costs (TCA) with global partners
- Bridge FX Markets with Cash & Asset Management to invest excess funds and optimize yield
- Maintain relationships with international banks and counterparties across EMEA, negotiating price and terms
- Support Treasury solutions for new currencies and product launches
- Lead upgrades to dealing strategy, controls, and systems with risk teams (1st/2nd lines)
- Contribute to Market Risk Committees with insights on activity and risk management
- Produce monthly analyses and reporting on dealing activities
- Lead and coach a London-based treasury team of junior members
Key requirements
- 6-8+ years FX trading experience
- Focus on Emerging Market or APAC currencies
- Additional broader Treasury experience valued
- Management experience leading a global risk management team
- leadership
- stakeholder management
- collaboration
- FX trading and hedging
- risk management and execution
- Spot, Forwards & NDFs
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