Amsterdam
6 days ago
Treasury Dealer - FX logo

Treasury Dealer - FX

Booking.com

Treasury Dealer - FX

Booking Holdings is seeking a Treasury Dealer - FX to join its Front-Office Treasury team, executing FX hedging strategies and managing FX-related activities. The role requires 3-5 years of FX experience, strong capital markets knowledge, and proficiency with AI tools and data analytics. This is a hybrid position based in Amsterdam, prioritizing local candidates.

HybridFull-timeMid LevelFXCapital Markets

Salary

Not specified

Work Location

Amsterdam, North Holland, Netherlands, NL

Work Model

Hybrid: Two days in-office

Experience Required

5 years

Employment Type

Full-time

Experience Level

3-5 years of relevant FX experience

Core Qualifications

Technical (Must-have)
FXCapital MarketsIR MarketsCurrency DerivativesOptionsForwardsNDFsSwapsSpotsAccountingPythonSQLVBAAI ToolsSAP ERPBloombergFXALLS&P Capital IQTableauExcel
Soft Skills
Attention to DetailCollaborationCommunicationInterpersonal SkillsWork EthicSelf-directedResourcefulSolution OrientedResult DrivenProactiveTeamworkTenacity

Key Responsibilities

  • Active role in the execution of FX deals for multiple Group entities, in order to hedge foreign currency exposures, repatriate and fund cash accounts, and distribute local dividends
  • Ensure that trades are correctly captured in the Company’s S4 ERP system, liaising with the Treasury Middle Office team to facilitate the smooth settlement of all transactions
  • Support with the completion of all FX documentation, satisfying local banking and regulatory requirements (eg Dodd-Frank, EMIR, ISDA)
  • Deliver various month end reports and cover analytical tasks connected to both FX transactions, ensuring the accuracy of data in all reported material
  • Assist in the analysis, development and documentation of forward looking plans, procedures and controls related to FX deal execution
  • Review, maintain and enhance Front Office related policies, guidelines and desk procedures
  • Manage relationships with FX banking partners including due diligence, monitoring, performance, compliance and trade execution
  • Partner with internal stakeholders (e.g. Corporate Accounting, Payments Operations, Fintech, Tax and Risk & Control teams) in order to satisfy evolving business requirements
  • Provide the Director and Senior Director of Front Office with support with ad-hoc tasks related to FX and investment related queries
  • Actively contribute to the team by identifying and proposing changes to both internal and external processes in order to increase compliance, efficiency and generate cost reductions
TreasuryFXDealerFinanceSoftware DevelopmentHybridAmsterdamFull-time