Checkout.com is one of the most exciting fintechs in the world. Our mission is to enable businesses and their communities to thrive in the digital economy. We’re the strategic payments partner for some of the best known fast-moving brands globally such as Wise, Hut Group, Sony Electronics, Homebase, Henkel, Klarna and many others. Purpose-built with performance and scalability in mind, our flexible cloud-based payments platform helps global enterprises launch new products and create experiences customers love. And it's not just what we build that makes us different. It's how.
We empower passionate problem-solvers to collaborate, innovate and do their best work. That’s why we’re on the Forbes Cloud 100 list and a Great Place to Work accredited company. And we’re just getting started. We’re building diverse and inclusive teams around the world — because that’s how we create even better experiences for our merchants and our partners. And we need your help. Join us to build the digital economy of tomorrow.
Job Description
Checkout.com is seeking a motivated Senior Analyst to join our Treasury Markets team in London! The successful candidate will be working on the buildout and deepening of our Treasury Markets capabilities globally.
In response to the continued scaling and expansion of Checkout.com you'll be identifying and quantifying market risks arising from our operations, contributing to the design and implementation of a strong risk management framework and monitoring and managing these risks on an ongoing basis.
How you'll make an impact
- Support Checkout.com in all aspects of the day to day monitoring, analysis and management of the group and legal entity FX risk and positions.
- Understand current business model and transaction and payment flows, to understand and identify FX risks.
- Develop / maintain basic models, undertake forecasting and execute on FX risk management strategies, procedures and controls to mitigate and manage these risks.
- Utilise daily FX MI reports to assess end of day FX position and P&L; assist with enhancing the MI to cover existing and new products and risks.
- Execute FX and Money Market trades and assist in implementing FX hedging strategies including ensuring proper trade booking and working with middle office teams at banks, where required.
- Act as the key point of contact for queries from Finance teams providing timely and accurate information on trade details, investment statements, etc.
- Assisting with FX / Money Market counterparty diversification including set up and testing of the execution infrastructure.
- Contribute to the documentation of FX and Investment policies and procedures as well working with Treasury Markets managers to ensure appropriate implementation and timely reviews of policies are undertaken.
- Assisting with monitoring credit / market risk exposure on investments.
- Assist the team in projects / new initiatives from time to time.
- Contribute to enhancing and implementing Key Risk Indicators (KRIs) for FX, Credit and Market Risks in conjunction with the Risk team and reviewing them on a regular frequency.
- Assisting with key MI to be presented at committee meetings, presentations to senior management and collaborating with various Treasury teams on daily tasks.
Qualifications
What we're looking for
- Treasury Markets experience essential
- Basic understanding of FX and Money Markets / Investments
- Experience in FX trading and Money Markets / Cash Management / Investments
- Quantitative and analytical skills, including basic modeling skills
- An understanding of risk with an ability to assess, quantify and manage risk (Fx and interest rate)
- Attention to detail, good time management, ability to multi task and proactivity is crucial
- Good communication skills and an ability to build and leverage cross-functional relationships
- Experience of working through change and implementing new processes
- Knowledge of financial markets and products, including a basic understanding of prudential regulations as they pertain to financial markets
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