Execute trades in global markets, focusing on foreign exchange (FX), commodities, stocks, and derivatives. Analyze market trends and economic indicators to make informed trading decisions. Monitor international financial markets, political developments, and economic events impacting trade decisions. Develop and implement trading strategies to maximize profit margins and mitigate risks. Manage trade execution with accuracy and in compliance with international trading regulations. Collaborate with investment and risk management teams to align trading strategies with broader company objectives. Build and maintain relationships with international brokers, banks, and financial institutions. Provide daily/weekly market reports and updates to senior management on trade performance and market insights. Stay updated on regulatory changes, international trade agreements, and financial policies affecting global trading.