Key Responsibilities:
- Manage risk exposure, including A-Book/B-Book strategies, spreads, and liquidity provider performance.
- Configure and maintain trading parameters such as leverage, margin requirements, and stop-out levels.
- Analyze client trading behavior and detect unusual or high-risk trading patterns.
- Generate daily, weekly, and monthly reports related to client exposure, profitability, and overall trading risk.
- Collaborate with liquidity providers to maintain efficient pricing and execution.
- Ensure internal risk policies and procedures are always followed.
Requirements:
- Minimum 2 years of experience in a similar role within a forex or CFD trading firm.
- Strong hands-on experience with MetaTrader 5 Manager risk analysis.
- Deep understanding of market and operational risk in online trading environments.
- Developing and implementing risk management plans.
- Familiarity with liquidity bridge systems (e.g., OneZero, PrimeXM) is an advantage.
- Ability to identify and resolve complex issues related to risk and trading strategies.
Job Type: Full-time
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