Senior Banknote Trader

Company: StoneX Group Inc.
Apply for the Senior Banknote Trader
Location: London
Job Description:

Position Purpose

The Senior Banknote Dealer is responsible for the commercial management of current-issue circulating and legacy but tradable banknotes, with a strong emphasis on FX-linked pricing, inventory risk, and hedging strategies. The role combines physical banknote trading expertise with treasury-style risk management, ensuring profitability and capital protection across multi-currency positions. The position requires advanced knowledge of banknote markets, FX markets, spreads, liquidity, and counterparty risk, and close coordination with treasury, compliance, and operations teams.

Responsibilities

  • Trade high volumes of banknotes across major and emerging-market currencies.
  • Manage bid/offer spreads for wholesale and institutional clients.
  • Source notes from central banks, commercial banks, exchange houses, and international counterparties.
  • Optimise inventory turnover while balancing availability and carry costs.
  • Price banknotes dynamically using spot FX, forward points, and market premiums.
  • Actively manage FX exposure arising from physical banknote inventories.
  • Design and execute hedging strategies using FX spot and forwards, swaps and rolling hedge structures, and natural hedges between buy/sell flows.
  • Monitor open currency positions and Value at Risk (VaR).
  • Work closely with Treasury to align hedges with group FX policy.
  • Assess basis risk between physical banknote pricing and interbank FX markets.

Qualifications

  • Extensive experience in banknote trading, FX trading, or treasury functions.
  • Proven experience managing multi-currency physical cash positions.
  • Strong understanding of FX markets, forwards, swaps, and hedging mechanics; demonstrated ability to price risk and manage margin in volatile markets.
  • Advanced numeracy and risk awareness.
  • Strong commercial judgement and decision-making capability.
  • Experience in wholesale banknote desks or central bank-appointed roles.
  • Treasury or FX trading background.
  • Familiarity with VaR, P&L attribution, and hedge effectiveness analysis.
  • Multilingual skills.
  • Professional qualifications (e.g. ACI, ACT, CFA, IBNS).

Permanent, full-time.

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Posted: July 14th, 2026