FX Risk Manager

Posted 15 February 2024
Salary 20-25K AED p/m and benefits
LocationDubai
Job type Permanent
Discipline FinTech
Contact NameBrett Lockett

Job description

​We are partnering with a leading financial services organization in Dubai who are looking for a strong Risk Manager specializing in FX trading and/or META trader platforms.

The role will be integral to the continued growth of their risk management practice across the region and work closely with stakeholders across the organization.

Responsibilities:

•Implement and execute the Risk Management Strategies and processes order to manage and mitigate company's exposures.

•Implement Risk tools and monitor applications of MT4/MT5 platforms.

•Should possess strong knowledge about abusing strategies and to report any abuse or usual trading behavior.

•Maintaining reliable connections to Liquidity Providers.

•Perform maintenance and stress tests on our systems and resolve any issues.

•Monitoring prices and trade flows for Forex (FX) and Contract for Difference (CFD) and client reporting and analysis

•Should have strong Knowledge in effectively handling Servers, plug- ins, Bridge Integration Primexm.

•Expert in MT4/MT5 Platform Administration and Configuration.

•Ensure the smooth operation of the MT4/MT5 platform.

•Good understanding of financial markets, especially for FX and CFD

•Provide day to day support, document processes, technical support for our clients and internal departments.

•Collaborate with external advisors and vendors to keep our MT4/MT5 technology in perfect order and up to date.

•Should be well versed in setting up Trading Conditions ((dynamic leverage grid, commissions, swaps, bonuses)

•Should have strong ability to handle well the problematic cases, trading strategies, client segmentation

Requirements

•Bachelor’s degree in university is Mandatory.

•Minimum 5 years’ experience in Risk Management in Forex Industry

•Should possess strong knowledge in Meta trader platforms (MT4/MT5), C trader, trading Bridges.

•Strong production knowledge of interest rate derivatives with deep understanding of pricing and risk.

•Strong Problem-solving Skills.

•Good analytical skills and good presentation skills

•Ability to perform live monitoring on all trades

•A pro-active, motivated approach

•Excellent communication skills

Submit an application today!