Overview

Responsibilities:

- Responsible for running complex reporting (in Excel) on a daily basis;
- Keep up to date with the market information and monitor trends in all major currency pairings;
- Provide financial analysis reports for fluctuations in international financial markets on a regular basis;
- Responsible for in-depth testing of internal software and developments related to dealing operations; 
- Identify any risks posed to the Company;
- Monitor the prices, update constantly currencies, commodities and CFDs;
- Update and support colleagues from other departments;
- Prepare regulatory reports.

Required Qualifications:

- University degree in Finance, Business, Economics or a related field;
- At least 1 year of relevant work experience a related field;
- Excellent knowledge of excel;
- Good understanding of the Forex industry;
- Fluent knowledge of the English language;
- Ability to work in shifts; 
- Good organizational and interpersonal skills;
- Positive attitude, excellent communication and listening skills;
- Ability to work in a high-pressure environment, multi-task, prioritize and meet strict deadlines;
- Knowledge of MathWorks/ MATLAB will be considered a plus.