Senior Treasury FX Architect: Global Hedging & Automation

EngineersOfAI

Greater London

On-site

GBP 93,500 - 115,000

Full time

14 days+
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Job summary

Monzo is seeking a Senior Treasury FX Manager (UK) to lead the evolution of its FX strategy. You will bridge Treasury with Data, Product and Engineering to build a scalable automated FX execution environment and oversee risk management and hedging activities.

You will design global FX frameworks, expand currency footprint, and work with stakeholders to enable new markets while maintaining strong controls and liquidity management.

Qualifications

  • Demonstrated experience in a fast-paced FX environment, handling spot/forwards/swaps/NDFs.
  • Experience designing and deploying FX hedging strategies.
  • Ability to own and improve FX execution frameworks and policies.

Responsibilities

  • Design and implement an automated FX execution environment to optimise netting and reduce hedging costs.
  • Build and maintain relationships with external liquidity providers for better pricing and liquidity.
  • Architect data-driven FX hedging strategies with Data, Product and Engineering teams.
  • Own the FX execution framework and drive policy and system improvements.
  • Lead global FX readiness for new markets within a multi-entity framework and ensure robust risk controls.
  • Manage FX exposure against business risk tolerance while supporting product growth.
  • Collaborate with Product, Engineering and Data squads on new FX product launches.
  • Work with finance and risk to ensure safe, scalable growth.

Skills

FX risk management
Automated execution
Hedging strategy design
Cross-functional collaboration
Liquidity management

Job description

Monzo is seeking a Senior Treasury FX Manager (UK) to lead the evolution of its FX strategy. You will bridge Treasury with Data, Product and Engineering to build a scalable automated FX execution environment and oversee risk management and hedging activities.

You will design global FX frameworks, expand currency footprint, and work with stakeholders to enable new markets while maintaining strong controls and liquidity management.

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