Risk Manager (Forex / CFD Brokerage)
DB Financial
نشرت في 27 فبراير
أرسل لي وظائف مثل هذه
الجنسية
أي جنسية
جنس
غير مذكور
عدد الشواغر
1 عدد الشواغر
الوصف الوظيفي
الأدوار والمسؤوليات
Key Responsibilities
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Monitor real-time and end-of-day net exposure, concentration risk, and volatility risk across instruments (FX, metals, indices, crypto, etc.).
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Define and maintain risk limits: exposure caps, concentration thresholds, margin buffers, and escalation rules.
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Partner with Dealing to manage hedging logic (where relevant), execution quality, and abnormal market conditions.
Client Risk, Conduct & Trading Surveillance
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Detect and investigate abusive or high-risk behaviors: latency arbitrage, bonus abuse, toxic flow, hedging abuse, spoofing-like patterns, scalping anomalies, etc.
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Implement and optimize risk flags, segmentation rules, and client profiling (new vs mature, retail vs partners, risk scoring).
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Recommend risk actions: leverage restrictions, instrument restrictions, margin adjustments, trading conditions review, or account measures aligned with internal policies.
Risk Controls, Policies & Governance
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Build/upgrade risk policies and SOPs across: leverage framework, margin calls/stop-out logic, negative balance protection (as applicable), instrument risk parameters, weekend/overnight risk, news risk.
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Run risk committee cadence: dashboards, incident reports, action plans, KPI tracking.
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Ensure proper audit trails and structured documentation of decisions and actions.
Data, Automation & Tooling
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Own dashboards and reporting (MT4/MT5, CRM, BI tools): exposures, PnL drivers, client cohorts, exceptions, incidents.
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Work with Tech/Product to automate monitoring, alerts, and rule-based controls.
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Improve risk efficiency by reducing manual work through workflows and tooling.
Cross-Functional Collaboration
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Align with Compliance on AML-red-flags overlap and suspicious behaviors.
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Support Sales/Partnerships with risk input for promotional structures, rebates, and bonus eligibility rules (ensuring clean flow and controlled downside).
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Provide training to internal teams on risk best practices and escalation protocols.
الملف الشخصي المطلوب للمرشحين
Requirements (Must-Have)
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3+ years in a Risk role within Forex/CFD brokerage, prop trading, liquidity provider, or similar trading environment.
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Strong knowledge of:
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Margin/leverage mechanics, exposure management, stop-out logic
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Market microstructure basics, volatility regimes, news risk
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Client behavior patterns and trading abuse typologies
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Experience with MT4/MT5 (manager/admin reports) and practical risk monitoring.
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High analytical capability (Excel advanced; BI tools a plus) and ability to translate data into decisions.
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Clear communication and ability to operate with senior stakeholders under time pressure.
Nice-to-Have
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Experience implementing risk rules/alerts via BI, SQL, Python, or internal tooling.
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Familiarity with liquidity/prime brokerage setups (A-Book/B-Book hybrid models).
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Previous work in regulated environments (CySEC, MFSA, SCA, etc.).
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Experience designing bonus/promotion risk controls and eligibility frameworks.
القطاع المهني للشركة
الكلمات الرئيسية
- Risk Manager (Forex / CFD Brokerage)
تنويه: نوكري غلف هو مجرد منصة لجمع الباحثين عن عمل وأصحاب العمل معا. وينصح المتقدمون بالبحث في حسن نية صاحب العمل المحتمل بشكل مستقل. نحن لا نؤيد أي طلبات لدفع الأموال وننصح بشدة ضد تبادل المعلومات الشخصية أو المصرفية ذات الصلة. نوصي أيضا زيارة نصائح أمنية للمزيد من المعلومات. إذا كنت تشك في أي احتيال أو سوء تصرف ، راسلنا عبر البريد الإلكتروني abuse@naukrigulf.com