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What you'll be working on:
• Team Leadership & Development:
o Lead, mentor, and manage a team of risk management professionals.
o Foster a culture of risk awareness, accountability, and continuous improvement within the team.
o Conduct regular performance reviews and provide feedback to team members.
• Risk Management Strategy:
o Develop and implement comprehensive risk management frameworks and policies for CFD trading activities.
o Ensure alignment of risk management strategies with the company's overall business objectives.
• Risk Monitoring & Reporting:
o Oversee the monitoring of trading positions, margin requirements, and exposure limits.
o Ensure the timely generation and delivery of risk reports to senior management and stakeholders.
o Identify and escalate potential risk issues, providing actionable recommendations.
• Trading Desk Collaboration:
o Work closely with Trading members to ensure compliance with risk limits and trading guidelines.
o Provide real-time risk assessments and support to optimize trading strategies.
• Regulatory Compliance:
o Ensure all trading activities comply with relevant regulatory requirements and internal policies.
o Stay updated on industry regulations and best practices in risk management.
• Stress Testing & Scenario Analysis:
o Oversee the conduct of stress tests and scenario analyses to evaluate the impact of market shocks on trading portfolios.
o Develop and implement contingency plans to mitigate potential losses.
• Technology & Tools:
o Utilize advanced risk management tools and software to enhance risk monitoring and reporting capabilities.
o Close collaborations with Developers and data teams to improve risk management systems and processes.
• Stakeholder Communication:
o Act as the primary point of contact for risk management matters with senior management, traders, and regulators.
o Present risk management fndings and recommendations to executive leadership.
What we're looking for:
• Bachelor's degree in Finance, Economics, Mathematics, or a related feld. A Master's degree or professional certificate on (e.g., FRM, CFA) is a plus.
• Minimum of 5 years of experience in risk management, preferably within a CFD trading or brokerage environment.
• Strong understanding of CFD products, ffnancial markets, and trading strategies.
• Proffciency in risk management tools and platforms (e.g. PXM, OneZero, Bloomberg, Reuters, or proprietary systems).
• Excellent analytical, problem-solving, and decision-making skills.
• Strong communication and interpersonal skills, with the ability to work effectively with traders, senior management, and regulators.
• Trading platform knowledge, eg. MT4 & MT5
• Good command in BOTH English and Mandarin (as needed to support mandarin speaking customers).
Job ID: 146640671