At a Glance
- Tasks: Manage liquidity quality and execution performance in a dynamic trading environment.
- Company: Join State Street Markets, a leader in trading and lending solutions.
- Benefits: Competitive salary, diverse team, and opportunities for professional growth.
- Other info: Collaborative culture with a focus on innovation and market insights.
- Why this job: Make a real impact on trading efficiency and client outcomes.
- Qualifications: Strong experience in FX markets and analytical skills required.
The predicted salary is between 80000 - 100000 £ per year.
The Liquidity Manager is responsible for optimizing liquidity quality, execution performance, and traded volumes, with a primary focus on Currenex. This is a specialist, data‐driven role that actively manages liquidity provider participation to improve market quality, client outcomes, and overall commercial performance. While the Liquidity Manager does not perform sales activities or engage in commercial negotiations, the role is client‐facing and owns the liquidity management component of the client relationship. This includes accountability for execution outcomes, liquidity quality, and trading performance. The role focuses on execution analysis, liquidity deployment, and close collaboration with internal stakeholders, liquidity providers, and clients to enhance trading efficiency and support platform growth.
The team you will be joining is a part of State Street Markets. As a leading provider of trading and lending solutions to the world's institutional investors, we deliver the industry's most innovative platforms, financing and portfolio solutions. Our capabilities are backed by proprietary, high‐value research, insights and indicators that power clients' investment decisions, accelerate performance and help investors stay ahead of shifting markets.
What you will be responsible for:
- Liquidity Optimization & Market Quality – Actively manage liquidity providers on the platform, including adding, removing, or repositioning liquidity in response to market conditions, client needs, and performance outcomes. Optimize liquidity by currency pair, trading stack, execution type, and trading style. Ensure high‐quality, resilient liquidity provision that supports diverse client trading strategies.
- Performance Monitoring & Analytics – Monitor execution performance metrics, including (but not limited to): fill rates (overall and by currency pair), round‐trip times (RTT), market impact, execution method effectiveness. Use quantitative analysis to identify performance gaps, trends, and optimization opportunities. Make data‐driven recommendations to improve liquidity alignment and execution outcomes.
- Platform Growth & Revenue Contribution – Directly support volume and revenue growth by improving liquidity quality and execution efficiency. Identify and address structural or behavioral factors that inhibit optimal trading activity. Contribute to strategic initiatives aimed at expanding liquidity participation and deepening market engagement.
- Stakeholder Collaboration – Work closely with Sales, Product and Technology teams to support platform enhancements and data initiatives. Engage with liquidity providers to review performance, communicate optimization actions, and align on trading behavior, while remaining non‐commercial in nature. Escalate risks, issues, or blockers impacting liquidity performance to Liquidity Management leadership.
- Governance & Controls – Operate within established governance, conduct, and market surveillance frameworks. Ensure liquidity management activities are compliant with internal policies and regulatory obligations. Support audits, reviews, and regulatory inquiries as required.
Success Measures:
- Improvement in execution quality and market performance metrics
- Growth in traded volumes and liquidity engagement
- Effective identification and resolution of liquidity performance issues
- Strong collaboration with internal stakeholders and liquidity providers
Out of Scope Activities:
- Selling GlobalLINK products or services
- Pricing negotiations or client commercial discussions
- Direct ownership of client accounts or relationships
What we value:
- Experience – Strong experience in FX markets, electronic trading, market structure, or liquidity provision. Demonstrated background in execution analysis, trading analytics, or market microstructure. Experience working with FX trading platforms, ECNs, EMSs, or liquidity aggregation technologies.
- Technical & Analytical Skills – Strong quantitative and analytical capability with the ability to interpret complex execution data. Comfortable working with trading metrics, performance dashboards, and large data sets. Understanding of FX market participants, including banks, non‐bank market makers, and buy‐side trading behaviours.
- Professional Skills – Highly data‐driven with strong problem‐solving and critical‐thinking skills. Clear and confident communicator, able to explain analytical insights to technical and non‐technical stakeholders. Strong judgment, attention to detail, and ability to operate effectively in fast‐moving market environments.
- Education & Preferred Qualifications – Bachelor's degree in Finance, Economics, Mathematics, Engineering, or a related discipline (or equivalent experience). Advanced degree or relevant market qualifications are advantageous but not required.
Equal Opportunity Employer Statement: As an Equal Opportunity Employer, we consider all qualified applicants for all positions without regard to race, creed, color, religion, national origin, ancestry, ethnicity, age, disability, genetic information, sex, sexual orientation, gender identity or expression, citizenship, marital status, domestic partnership or civil union status, familial status, military and veteran status, and other characteristics protected by applicable law.
Liquidity Manager, Vice President in London employer: State Street Corporation
At State Street, we pride ourselves on being an exceptional employer, offering a dynamic work culture that fosters collaboration and innovation. As a Liquidity Manager, you will benefit from our commitment to employee growth through continuous learning opportunities and access to cutting-edge resources in the financial sector. Located in a vibrant financial hub, our team thrives on data-driven insights and a client-first approach, ensuring that you play a pivotal role in enhancing market quality and driving business success.
StudySmarter Expert Advice🤫
We think this is how you could land Liquidity Manager, Vice President in London
✨Tip Number 1
Network like a pro! Reach out to people in the industry, especially those who work at State Street or similar firms. A friendly chat can open doors and give you insights that might just land you an interview.
✨Tip Number 2
Prepare for interviews by diving deep into liquidity management topics. Brush up on your knowledge of FX markets and execution analysis. The more you know, the more confident you'll feel when discussing your expertise!
✨Tip Number 3
Showcase your analytical skills! Be ready to discuss how you've used data to improve trading performance in past roles. Real-life examples will make you stand out as a candidate who can drive results.
✨Tip Number 4
Don't forget to apply through our website! It’s the best way to ensure your application gets seen. Plus, it shows you're genuinely interested in joining our team at State Street.
We think you need these skills to ace Liquidity Manager, Vice President in London
Some tips for your application 🫡
Tailor Your CV:Make sure your CV reflects the skills and experiences that align with the Liquidity Manager role. Highlight your experience in FX markets and any relevant analytical skills to show us you're the right fit.
Craft a Compelling Cover Letter:Use your cover letter to tell us why you're passionate about liquidity management and how your background makes you a great candidate. Be specific about your achievements and how they relate to the responsibilities outlined in the job description.
Showcase Your Analytical Skills:Since this role is data-driven, include examples of how you've used quantitative analysis in past roles. We want to see your ability to interpret complex data and make informed decisions based on it.
Apply Through Our Website:We encourage you to apply directly through our website for a smoother application process. This way, we can ensure your application gets the attention it deserves!
How to prepare for a job interview at State Street Corporation
✨Know Your Liquidity Metrics
Before the interview, brush up on key liquidity metrics like fill rates and round-trip times. Be ready to discuss how you’ve used these metrics in past roles to optimise trading performance and improve client outcomes.
✨Showcase Your Analytical Skills
Prepare to demonstrate your quantitative analysis capabilities. Think of specific examples where you've identified performance gaps or optimisation opportunities using data-driven insights. This will show your potential employer that you can handle the analytical demands of the role.
✨Understand the Market Landscape
Familiarise yourself with the current trends in FX markets and electronic trading. Being able to discuss recent developments or challenges in liquidity provision will highlight your industry knowledge and passion for the field.
✨Emphasise Collaboration
Since the role involves working closely with various stakeholders, be prepared to share examples of how you've successfully collaborated with teams in the past. Highlight your communication skills and ability to align different perspectives towards a common goal.