We are seeking a Risk Manager/Analyst ready to take his/her expertise to new heights by joining our client’s globally recognised brokerage with plenty of opportunities for professional growth.
As a multiple award-winning brokerage, our client has firmly established its global presence in over 90 countries since 2010 with main offices strategically situated in Australia, Cyprus, New Zealand, and the United Kingdom, serving as hubs for their innovative financial services. They pride themselves on their commitment to excellence, recognised through accolades earned based on merit and public voting. This is no ordinary brokerage, it’s an employer that rewards and celebrates exceptional talent.
What You’ll Do:
As the Risk Manager/Analyst, you will assume a pivotal role in safeguarding our trading activities through effective risk management. Proficiency in MT5/MT4 and expertise in utilizing the OneZero hub will be instrumental as you monitor and manage trading operations, ensuring adherence to risk limits and maintaining account stability. Leverage your MySQL skills to maintain robust databases and generate valuable reports that shape strategic decisions.
You’re a seasoned Risk Manager/Analyst, currently excelling in a similar role at another brokerage firm. Your expertise in MT5/MT4 and the OneZero hub is second nature to you, allowing you to navigate trading operations with finesse. Your proficiency in MySQL empowers you to derive valuable insights from data, driving risk mitigation strategies.
- Bachelor’s degree in finance, economics, mathematics, or a related field (master’s degree is a plus).
- 2-3 years of proven experience in risk management or analysis within the financial industry, preferably in a CFD brokerage firm.
- Strong knowledge of MT5/MT4 and hands-on experience using the OneZero hub for risk management purposes.
- Excellent MySQL skills, with the ability to create and maintain reports using SQL queries.
- Proficiency in database administration, ensuring data accuracy, integrity, and server management.
- Familiarity with risk management concepts, methodologies, and tools (e.g., VaR, stress testing, exposure limits).
- Strong analytical skills, capable of identifying and assessing potential risks and proposing effective mitigation strategies.
- Excellent written and verbal communication skills to convey complex risk concepts to both technical and non-technical stakeholders.
- Familiarity with regulatory requirements and industry standards related to risk management in the financial sector.
Join Our Client’s Team:
Our client offers a highly competitive salary range of up to 54,000 euros per annum, flexible working arrangements to support work-life balance, and comprehensive healthcare coverage. Take the leap and propel your career forward with a brokerage that recognises your talent and rewards your dedication.
Ready to Make the Move?
Submit your CV and let us know why you’re the perfect fit for our Risk Manager/Analyst position. Send you CV to email@example.com and get ready to embark on an exciting new chapter with our client’s award-winning brokerage.