We are seeking an experienced Liquidity Manager to join a global financial technology firm that provides advanced FX and multi-asset trading, aggregation, and workflow automation solutions for institutional clients.
The ideal candidate will have a strong understanding of FX liquidity, electronic trading workflows, and multi-bank connectivity. You will work closely with liquidity providers (banks and non-banks), clients, and internal technology teams to ensure optimal pricing, execution quality, and client experience.
Key Responsibilities
Relationship & Liquidity Management
- Maintain and develop strong relationships with banks, non-bank liquidity providers, and prime-of-prime partners.
- Oversee liquidity performance (pricing quality, spreads, fill rates, rejects) and ensure consistent optimization across client pools.
- Conduct regular reviews and discussions with LPs to negotiate streams, tiers, credit lines, and configuration parameters.
Client Engagement
- Work directly with institutional clients (brokers, asset managers, banks) to understand liquidity needs and execution issues.
- Support clients during onboarding, pricing model setup, and troubleshooting execution behaviour.
- Provide guidance on best-practice liquidity configurations, routing logic, and market-making interactions.
Technical & Analytical Responsibilities
- Monitor real-time and historical execution metrics: slippage, response times, rejects, last-look, spread comparisons, and toxicity trends.
- Collaborate with product and engineering teams to improve liquidity tools, analytics, and routing behaviours.
- Analyse market micro-structure events and share insights internally to enhance liquidity strategies.
Operational Excellence
- Ensure reliable, continuous liquidity availability across all supported assets (FX, CFD indices, commodities, crypto, etc.).
- Drive issue resolution between LPs, clients, and internal technical support.
- Prepare regular liquidity and performance reports for management and strategic partners.
Requirements
Experience
- 4-8+ years in FX liquidity management, electronic trading, prime services, ECN/aggregator platforms, or trading-technology providers.
- Prior exposure to global banks, non-bank market makers, PoP liquidity providers, or institutional brokers.
- Experience working with liquidity aggregation, STP workflows, FIX/API connectivity, or execution analytics is strongly preferred.
Skills
- Strong understanding of FX pricing, spreads, last-look, routing logic, credit allocation, and execution quality metrics.
- Ability to interpret trade-flow data, latency figures, and execution patterns.
- Excellent relationship-building and communication skills with both clients and LPs.
- Ability to collaborate across commercial, operations, and technical teams.
Nice to Have
- Knowledge of risk-offset workflows and hedging logic used by institutional brokers.
- Familiarity with eFX platforms (e.g., ECNs, multi-bank APIs, bridge providers).
- Basic understanding of scripting/SQL for analysing trade data.