Responsibilities
- Supervise the complete lifecycle of foreign exchange transactions, from pricing to settlement, across multiple banking API integrations
- Ensure real-time performance of FX rate systems, maintaining strict service level agreements for uptime and pricing accuracy
- Optimize automated selection of liquidity providers using cost, speed, health metrics, and regional compliance criteria
- Address and resolve transaction failures, outdated rates, and API disruptions through root cause analysis
- Perform daily reconciliation of all currency movements with high precision and meet strict deadlines
- Manage settlement processes via ISO 20022-compliant payment networks and resolve any discrepancies
- Collaborate with finance and clearing units to ensure accurate and auditable financial records
- Generate regular operational and reconciliation reports for leadership review
- Build and sustain strong relationships with financial institution partners
- Track liquidity availability for large-value trades to secure optimal pricing and execution
- Assess and integrate new liquidity sources, supporting long-term API connectivity strategy
- Negotiate favorable pricing structures and volume-based incentives with providers
- Work with risk, compliance, and legal departments to uphold regulatory standards in all currency corridors
- Enforce automated failover mechanisms when provider error rates exceed thresholds
- Assist anti-money laundering and compliance teams with transaction surveillance and reporting obligations
- Uphold security protocols including multi-factor authentication, risk controls, and licensing requirements
- Support product and technology teams during the launch of new features such as scheduled conversions and multi-currency transfers
- Provide operational input and testing support for introducing new currency pairs
- Coordinate with customer support on escalated FX issues and maintain up-to-date standard operating procedures