Risk Manager (Market Risk / Product Control) – FX/CFD experience

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 Requirements

Tertiary qualification, preferably in Finance
·       At least 1-year experience in the FX and CFD industry
·       MT4/MT5 trading system administration experience is an absolute advantage
·       Strong MS Excel skills. MYSQL and Python skills are advantageous
·       Excellent problem solving and troubleshooting skills
·       Good learning capacity for new knowledge areas
·       Ability to multitask, prioritise and work independently
·       Ability to speak Mandarin and English fluently in order to communicate with Mandarin speaking client

 Responsibilities

Performing risk assessments and evaluation of our company's exposure to the market
·       Implementing risk management processes for the organization
·       Preparing various trade reports and processing comprehensive data analysis
·       Preparing daily client account analysis
·       Monitoring pricing connectivity
·       Monitoring client trade flow and execution
·       Audit deposit and withdrawal processes
·       Liaise with various departments on all aspects of client trading
·       Liaising with external associates for problem-solving

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