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Fx Trading Principal

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Capi Money

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Job Description:

As an FX Trading Principal at Capi, you will play a critical leadership role in the execution and strategic management of the company’s FX activities across emerging and developed markets. Reporting directly to the Head of Treasury, you will take ownership of market-making, risk mitigation , and relationship development with counterparties, delivering consistent value to the Treasury P&L. This role demands deep expertise in African and EM currencies alongside strong coverage of G10 products. You will be responsible for driving trading strategy, cultivating institutional and banking relationships, and mentoring junior team members. The position offers significant cross-departmental exposure and the opportunity to influence Capi’s long-term Treasury strategy while contributing to the company’s rapid global expansion.

Job Responsibility:

  • Execute and oversee FX market transactions, ensuring disciplined risk management and compliance with company thresholds
  • Execute on the Treasury’s P&L priorities with a focus on revenue growth, cost efficiency, and liquidity optimisation
  • Provide macroeconomic insights and market intelligence to inform corporate decision-making and product design
  • Build, strengthen, and manage relationships with local and international banks, counterparties, and regulators across multiple regions, particularly Sub-Saharan Africa
  • Develop, backtest, and implement advanced trading strategies, tools, and platforms to enhance execution, speed, and market access
  • Mentor and train associates and treasury staff to strengthen the team’s market knowledge and execution capabilities
  • Lead the assessment of new FX products, payment systems, and markets to expand trading opportunities
  • Represent Treasury in cross-functional projects, supporting global expansion and capital flows into new markets

Requirements:

  • 10+ years’ experience in FX trading, market making, or treasury roles within financial institutions, brokerages, or fintechs
  • Demonstrated expertise in emerging market currencies, particularly African FX, and strong knowledge of G10 FX
  • Proven track record in a P&L generating position and delivering consistent revenue growth
  • Advanced understanding of financial risk management principles, in particular FX/liquidity, and hedging strategies
  • Strong macroeconomic awareness and analytical skills, with the ability to interpret complex market dynamics
  • Exceptional communication and relationship-building skills, with established networks across financial institutions and regulators
  • Ability to perform under pressure with precision, discipline, and emotional control in fast-moving market conditions
  • Proficiency in Bloomberg, Refinitiv/Reuters, 360T, and Treasury Management Systems
  • Fluency in English

Nice to have:

  • Direct experience working with African local banks and central banks
  • Fluency in French
  • Track record of scaling trading businesses in fintechs, startups, or high-growth companies
  • Experience with multi-currency corporate treasury operations across Africa, Europe, and the Middle East
What we offer:

competitive salary + benefits (including equity)

Additional Information:

Job Posted:
February 18, 2026

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:

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