Senior Treasury Dealer, Trading
Amazon.com
Amazon seeks a Treasury Manager to join the Treasury Strategy and Markets Team, which oversees global foreign exchange trading, commodities, and equities execution. This role sits at the heart of Amazon's trading operations, where you will be responsible for executing and managing multi-asset class trading strategies across FX, equities, and commodities markets. As a key member of the team, you will leverage trading platforms and analytics to drive efficient execution while ensuring best-in-class trading practices. The successful candidate should be comfortable with ambiguity and balancing multiple competing priorities, demonstrating strong decision-making capabilities in fast-paced market conditions. You will build and maintain strategic relationships with key banking counterparties and work cross-functionally across Amazon's diverse business lines to support the company's global trading needs.
This position requires a self-starter who will work to continuously improve Treasury processes while maintaining a rigorous control environment and compliance with various Amazon policies.
Key Responsibilities include:
• Execute foreign exchange, equity, and commodity trades to support Amazon's global business operations
• Develop and maintain real-time monitoring of market conditions, liquidity, and pricing across multiple venues and counterparties to ensure optimal execution
• Implement best execution practices and conduct regular Transaction Cost Analysis (TCA) to optimize trading performance
• Create and monitor detailed reports that track the performance of execution metrics, including fill rates, rejection rates, and price improvements against internal KPIs
• Build and maintain relationships with key liquidity providers to ensure competitive pricing and market access across all asset classes
• Analyze market microstructure and implement algorithmic trading strategies to minimize market impact and improve execution efficiency
• Work with banking partners to develop and implement new execution methodologies for restricted currencies and emerging markets
• Collaborate with technology teams to enhance trading platforms, implement API connectivity, and automate execution processes
• Monitor trade settlement processes and resolve any trading-related issues with counterparties
• Work extensively with internal groups including Global Payments, Finance Operations, and Technology teams on trading infrastructure improvements
• Design and maintain trading dashboards that provide real-time visibility into execution performance, market conditions, and liquidity metrics
• Develop and document standard operating procedures for trading activities across all asset classes
• Participate in periodic reviews of counterparty performance and recommend changes to the counterparty panel as needed
• Stay current with market developments, regulatory changes, and new trading technologies that could impact execution strategies
• Conduct regular reviews of execution policies and procedures to ensure compliance with internal and external requirements
This position requires a self-starter who will work to continuously improve Treasury processes while maintaining a rigorous control environment and compliance with various Amazon policies.
Key Responsibilities include:
• Execute foreign exchange, equity, and commodity trades to support Amazon's global business operations
• Develop and maintain real-time monitoring of market conditions, liquidity, and pricing across multiple venues and counterparties to ensure optimal execution
• Implement best execution practices and conduct regular Transaction Cost Analysis (TCA) to optimize trading performance
• Create and monitor detailed reports that track the performance of execution metrics, including fill rates, rejection rates, and price improvements against internal KPIs
• Build and maintain relationships with key liquidity providers to ensure competitive pricing and market access across all asset classes
• Analyze market microstructure and implement algorithmic trading strategies to minimize market impact and improve execution efficiency
• Work with banking partners to develop and implement new execution methodologies for restricted currencies and emerging markets
• Collaborate with technology teams to enhance trading platforms, implement API connectivity, and automate execution processes
• Monitor trade settlement processes and resolve any trading-related issues with counterparties
• Work extensively with internal groups including Global Payments, Finance Operations, and Technology teams on trading infrastructure improvements
• Design and maintain trading dashboards that provide real-time visibility into execution performance, market conditions, and liquidity metrics
• Develop and document standard operating procedures for trading activities across all asset classes
• Participate in periodic reviews of counterparty performance and recommend changes to the counterparty panel as needed
• Stay current with market developments, regulatory changes, and new trading technologies that could impact execution strategies
• Conduct regular reviews of execution policies and procedures to ensure compliance with internal and external requirements
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