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À propos de ce poste Senior Liquidity Analyst chez TMGM

TMGM · Sur site · Sydney, New South Wales, Australia

About TMGM

TMGM stands at the forefront of online trading and investment services, proudly serving as Chelsea FC's Official Regional Online Forex and Trading Partner in Asia Pacific. With a global presence and offices spanning three continents, TMGM has earned its reputation as a trusted CFD trading provider. We embody excellence through a commitment to regulatory compliance, technological innovation, and unparalleled customer service.

At TMGM, our vision goes beyond providing a platform for trading; we aspire to empower our clients with the best trading conditions. We leverage industry-leading and cutting-edge innovative platforms to ensure that your trading experience is nothing short of exceptional. Our relentless commitment to research and development continually pushes the boundaries of liquidity and usability, giving you the tools you need to thrive in an ever-evolving financial landscape.

About the role

We are seeking a senior, market-aware Liquidity Analyst to own day-to-day liquidity performance and execution quality across FX and CFDs. The role combines real-time market judgement, LP management, bridge configuration and data-led improvement. You will work independently in live markets, engage directly with liquidity providers, and partner with internal stakeholders to improve pricing, depth and execution outcomes.

Responsibility

Liquidity and execution management

  • Monitor market conditions, including volatility, spreads, depth, session transitions and event risk. Identify deterioration in pricing or execution quality and take timely corrective action.
  • Own and optimise bridge configurations, including routing, filters, failover logic, throttles, symbol and session settings, and mark-ups.
  • Maintain effective primary and backup liquidity arrangements, including appropriate controls for fast or abnormal market conditions.

LP performance ownership

  • Assess LP performance across spread competitiveness, depth, quote stability, response times, reject rates, slippage, execution consistency and last-look behaviour.
  • Maintain LP scorecards and lead performance reviews to support liquidity selection, coverage and routing decisions.
  • Engage directly with LPs to investigate issues and improve pricing, depth and execution outcomes.

Incident management and controls

  • Investigate pricing and trade incidents using bridge logs, market data and trade records; determine root cause, coordinate resolution and implement preventative controls.
  • Exercise sound judgement during fast markets, including when to switch or restrict liquidity.
  • Maintain clear documentation of configurations, incident findings and operating procedures to support scalable, repeatable operations.

 

Analytics and continuous improvement

  • Build and maintain scalable pre- and post-trade analytics and monitoring covering liquidity quality, slippage, rejects, pricing quality and execution consistency.
  • Translate findings into practical configuration or LP-management changes, and validate their impact through before-and-after analysis.

Requirements

  • 5 or more years' experience in liquidity management, electronic execution, market operations or a related markets-facing role within FX and CFDs.
  • Strong understanding of market microstructure and execution metrics, including slippage, rejects, quote stability and last-look impact.
  • Hands-on experience with oneZero or comparable bridge and liquidity-management technology.
  • Demonstrated experience assessing LP performance and managing primary and backup liquidity arrangements.
  • Advanced SQL and Python skills, with hands-on experience analysing high-volume tick, pricing and trade data. Able to build reliable diagnostics, reporting and monitoring that translate analysis into practical liquidity and execution improvements.
  • Able to investigate complex execution issues independently and communicate clearly with LPs and internal stakeholders.

Benefits

  • Competitive salary and performance-based bonuses.
  • Opportunities for career growth and development within a global company.
  • Collaborative and inclusive work environment with exposure to cross-region operations.
  • Health and wellness benefits.
  • Flexible working arrangements.
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À propos de TMGM

Join TMGM, a globally renowned multi-asset financial services provider headquartered in Sydney since 2013. With our expertise in clearing and broking services, we offer an extensive range of over 12,000 tradeable products, including Forex, CFDs, equities, and bonds.

At TMGM, we take pride in our prestigious partnerships, such as being one of the Official Partners of the Australian Open and the Official Online Trading Platform of the AFF Suzuki Cup 2020. We are also honoured to sponsor the legendary world-champion Italian goalkeeper Gianluigi Buffon. Our relentless focus on streamlining and simplifying processes ensures we meet our client's needs with exceptional efficiency. We are driven by a vision to create a financial ecosystem that delivers a superior trading experience for every participant worldwide.

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