Hybrid Treasury Analyst: FX & Rates in Commodities
X4 Technology
Greater London
Hybrid
GBP 50,000 - 70,000
Full time
14 days+
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Job summary
A global commodity trading company is seeking a Treasury Analyst to join its corporate Treasury team. In this hybrid role based in London, you will manage foreign exchange and interest rate risk while also contributing to wider Treasury activities. The successful candidate should have experience in commodity markets, strong analytical capabilities, and excellent communication skills. You will collaborate closely with operational teams and help develop reporting tools using platforms like Power BI.
Qualifications
Experience in commodity markets is essential.
Proven track record in managing FX and interest rate risk.
Strong analytical skills to interpret data.
Responsibilities
Monitor and manage FX and interest rate exposures.
Support trading teams with FX hedging strategies.
Build and improve analytical reporting tools.
Skills
Commodity market experience
Managing FX and interest rate risk
Analytical capabilities
Excellent communication skills
Advanced Excel skills
Familiarity with market data platforms
Programming experience (e.g. Python)
Tools
Power BI
Excel
PowerPoint
Job description
A global commodity trading company is seeking a Treasury Analyst to join its corporate Treasury team. In this hybrid role based in London, you will manage foreign exchange and interest rate risk while also contributing to wider Treasury activities. The successful candidate should have experience in commodity markets, strong analytical capabilities, and excellent communication skills. You will collaborate closely with operational teams and help develop reporting tools using platforms like Power BI.