We are looking for a CFD / Forex Risk Manager / Dealer to oversee market risk, trading exposure, and execution quality across Forex and CFD products. The role involves real-time monitoring of positions, managing exposure, and supporting the firm’s overall trading and risk strategy.
Strong profiles without direct risk-desk experience may be considered if they demonstrate deep market knowledge and strong analytical capability.
Key Responsibilities
Monitor real-time Forex and CFD trading activity and exposure
Manage market risk, client exposure, and execution outcomes
Support pricing, spreads, and execution decisions
Analyze trading patterns and identify risk anomalies
Work closely with dealing, platform, and compliance teams
Assist in defining and improving risk management frameworks
Monitor liquidity utilization and market conditions
Prepare risk and performance reports for management
Requirements
Strong knowledge of Forex and CFD markets
Solid understanding of market risk, leverage, and exposure management
Prior experience in risk management or dealing desks preferred
Strong analytical and decision-making skills
Ability to work in fast-paced, live trading environments
Experience with MT4/MT5 platforms is a strong advantage