Job Descriptions:
- Develop a risk management team from scratch
- Create a daily risk checks manual and apply to the team
- Monitor and ensure swift actions are being taken to manage a range of risks
- Run daily risk checks and accordingly generate risk reports
- Assess and monitor the Company’s exposure risk
- Collate information to identify potential system faults and prevent abuse issues
- Identify, examine, and report any suspicious activities related to the violation of the Terms and Conditions or the company
- Keep up to date with market information and monitoring trends in financial markets
- Use in-house tools and reports to analyse and evaluate the products offered and possible risk implications
- Work with other departments to perform daily duties and to achieve common goals
Job Requirements:
- At least 3 years of experience in Risk management in forex-related industries
- Experience at B2C forex entities
- Experience liasing with liquidity providers
- Knowledge of FX/ derivatives product knowledge
- Strong interest in finance and trading
- Ability to work independently and as a team player