Global FX Trader Manager
Location: Greater Amsterdam, Netherlands
Work arrangement: Hybrid
Industry: FMCG
An international FMCG organization is looking for a Global FX Trader Manager to join its Group Treasury team in the Greater Amsterdam area.
This is a key role within Global Treasury Operations, responsible for centralized foreign exchange and interest rate trading activities, market analysis and financial markets advisory. You will manage significant market exposures, support global risk management objectives and work closely with stakeholders across Finance, Tax, Legal, GBS and regional Treasury teams.
The role combines hands-on trading, strategic risk management, stakeholder engagement and continuous improvement within a dynamic, international business environment.
Key responsibilities:
- Own FX and interest rate hedging activities in support of the company’s global business and risk management strategy.
- Monitor global financial markets and translate macroeconomic developments and market trends into clear, actionable insights.
- Identify, assess and mitigate FX and interest rate risks through tailored hedging solutions.
- Advise Treasury, Finance, business and capital markets stakeholders on financial markets matters.
- Build and manage relationships with leading international financial institutions.
- Ensure competitive pricing, high-quality execution and access to relevant market intelligence.
- Partner with regional Treasury teams and central functions across the global organization.
- Contribute to strategic Treasury projects, technology initiatives and the continuous improvement of trading processes and controls.
- Co-own the maintenance and development of trading platforms in collaboration with Treasury Technology and IT.
- Support the ongoing development of the company’s global Treasury capabilities through knowledge sharing and collaboration.
About you
You will have:
- A degree in Economics, Finance or a related discipline; CFA qualification is an advantage.
- Experience in FX and/or interest rate trading, ideally gained within the banking sector.
- Strong knowledge of financial markets, hedging strategies and global macroeconomic developments.
- Practical experience with trading platforms such as FXAll, 360T, Bloomberg or Reuters.
- Knowledge of SAP FSCM.
- Strong analytical and problem-solving skills.
- Excellent stakeholder management and communication abilities.
- Fluency in English; additional languages are an advantage.
What’s on offer
- A senior role within the Group Treasury function of a leading international FMCG company.
- An inclusive, multinational environment with opportunities for professional and personal development.
- Hybrid working, with the opportunity to work 50% of your time outside the office.
- The possibility to work abroad for up to 10 days per year.
- Home-working equipment, including a chair, screen, mouse and keyboard.
- 25 vacation days plus 9 additional ADV days on a full-time basis.
- 13th-month salary.
- Competitive bonus scheme.
- Company laptop and mobile phone.
- A range of social and engagement activities, including dinners, drinks and company events.
Join the team
This is an excellent opportunity for an experienced FX or interest rate professional to take on a high-impact role at the heart of a global FMCG organization. You will combine market expertise with strategic influence while helping shape the future of international Treasury operations.