Capital Markets, FX Specialist
Stripe · New York · 6410 Treasury Finance · listed September 2, 2026
The shape of it
Seniority
Not stated
Where
Not stated
Requirements listed
6
Length
493 words
In the posting’s own words
At its core, Stripe is a treasury company, and the Treasury Finance team (TFIN) is key to building the Global Payments and Treasury Network (GPTN). Within TFIN, the FX team collaborates closely with product, engineering, sales, and finance teams to manage Stripe’s Corporate and User related FX risk. This includes creating pricing models to keep pace with product expansion and developing hedging strategies to mitigate the risks to Stripe’s profitability.
What it asks for · 6
- 5+ years in FX, market risk, trading, quantitative research, or treasury operations, with working knowledge of FX market structure and instruments
- Proficiency in Python and SQL to build analytics and tools, backed by a strong foundation in statistics, time series, and risk measurement
- Exceptional attention to detail and a proven ability to turn complex, imperfect datasets into clear insights
- Practical experience using AI tools to streamline analysis and automation, paired with a critical eye for model validation and verification
- Strong cross-functional collaboration skills, with the ability to turn complex data into clear narratives and escalate issues concisely under time pressure
- Bachelor's degree
Also a plus
- Degree in Economics, Finance, Statistics, Engineering, Computer Science, Math, or Physics
- Experience with automated trading and familiarity with option theory and greeks
- Experience building data pipelines and systems working alongside technical teams
What the job covers
- Monitor FX risks, execute trades , reconcile position, and attribute costs
- Build automated risk monitors, alerting tools, and analytical models using SQL and quantitative coding to enable observability and minimize operational toil
- Collaborate with Product and Engineering to guide the design and scaling of core FX infrastructure, trade execution flows, and liquidity provider integrations
- Develop risk-based FX pricing methodologies across products and currency pairs, factoring in volatility, transaction costs, netting efficiency, and embedded optionality like rate guarantees.
- Design hedging strategies to mitigate FX risks on financial statements while maintaining robust policies, controls, and operational runbooks
Degree language
- Bachelor's degree
Tools and skills named
Data
- Statistics2×
- Data pipelines
Languages
- SQL2×
- Python
Cloud & infra
- Observability
Ways of working
- Cross-functional
Words the posting leans on
- risk7×
- product5×
- engineering4×
- finance4×
- pricing4×
- requirements4×
- treasury4×
- build3×
- data3×
- experience3×
- hedging strategies3×
- market3×
- models3×
- operational3×
- tools3×
- automated2×
Counted from the posting after the mission statement and the legal notices are set aside. The ones near the top are the ones a screener is looking for.
The posting, your resume, and the gaps between them. One click loads all three.