Our client, an established global investment bank is seeking an experienced FX Spot Trader to join its London-based trading team at VP or Director level. This is a high-impact role focused on driving revenue through active risk-taking and delivering strong performance across G10 currencies, with particular strength in highly liquid and actively traded cross pairs. Key Responsibilities Actively manage and run a G10 FX spot trading book Take meaningful risk to generate consistent trading revenues Develop and execute trading strategies based on macroeconomic trends, flow dynamics, and market sentiment Work closely with sales, structuring, and other trading desks to maximise opportunities and client flow monetisation Maintain strong awareness of global macro drivers and central bank policies Ensure adherence to risk limits, controls, and regulatory standards Candidate Profile Proven experience in FX spot trading at a Tier 1 or Tier 2 institution Strong track record of P&L generation and disciplined risk-taking Demonstrated expertise trading major and cross G10 currency pairs, particularly those with deep liquidity and volatility Comfortable taking significant directional risk within defined parameters Excellent understanding of market microstructure, liquidity dynamics, and execution Strong communication skills and ability to collaborate across trading and sales teams Minimum VP-level experience, with capacity to step into a Director-level mandate for the right individual