Senior Dealer/ Risk Manager - Multi Asset

Senior Dealer/ Risk Manager - Multi Asset
Admiral Markets, Jordan

Experience
1 Year
Salary
0 - 0
Job Type
Job Shift
Job Category
Traveling
No
Career Level
Telecommute
No
Qualification
Bachelor's Degree
Total Vacancies
1 Job
Posted on
Jun 28, 2021
Last Date
Jul 28, 2021
Location(s)

Job Description

Senior Dealer/ Risk Manager Multi Asset

We are a global company, and Top 20 broker, whose regulated subsidiaries offer solutions for trading in exchange listed securities and CFDs on forex, stocks, ETFs, bonds, indices, commodities and cryptocurrencies. We care about the success of our clients; therefore, we offer numerous educational and analytical tools for better navigation of the financial markets. Our strong dedication to state-of-the-art software and quality assurance means that our clients receive the best, most transparent trading experience.

Our great team is looking for a new member, who is interested in the role of Senior Dealer/ Risk Manager Multi Asset. If you are responsible, efficient and talented in problem solving, this role is for you!

The role is to help run and supervise our trading desks across multiple assets and across multiple platforms (including MT4 and MT5). The role offers the right candidate the opportunity to perform a high impact and critical role within the Firm.

Main Responsibilities

You will be responsible for the continuous operation and running of the firms MT4 and MT5 systems in addition to a standalone cash equities platform.

Duties include:

  • Manage and monitor the Firm’s trading books across multiple asset classes FX, CFDs, cash equities and Futures and ensure the firm stays within its defined risk parameters
  • Ensure smooth operation of the MT4, MT5 and equities trading platforms
  • Supervise more junior staff when they are running the firm’s trading books to ensure they follow firm policies and procedures and adhere to company risk limits
  • Monitor, train and appraise more junior trading desk staff on both risk management and trading systems
  • Follow regulatory compliance and internal policies and procedures
  • Follow market trends, information/news in all major trading symbols offered by the Company
  • Actively monitor the firm’s systems, price feeds and clients’ trading activity and exposures and investigate suspicious trades
  • Obtain pricing from liquidity providers amp; execute client trades line with company’s policies amp; procedures
  • Speak to clients, as required, to resolve any trading/ account issues they may have
  • Generate and analyze trading statistics
  • Follow up transactions and orders with LP’s, Banks and Prime Brokers, as required
  • Develop and maintain FX, CFD and equity product and trade execution and risk management knowledge and expertise across multiple regions
  • Produce any other reports or written material, as required by business needs.
  • Handle any quotes issue with the real time server, such as freezing, gaps, filtrations
  • Be able to use the firm’s CRM systems
  • Monitor and manage issues with the LPs and pricing
  • Advise broader staff of any new system/ market updates/upgrades as appropriate
  • Follow-up with aggregators/bridges and other related technologies issues or updates
  • Switching between LPs if/ whenever required
  • Analyse clients’ trading behavior and performance
  • Producing daily trade and reconciliation reports in relation to trading activity and client positions using MT4 and third-party platforms.
  • Keeping up to date with financial markets information and conducting market research.

Requirements

  • Minimum of 4 years of continuous experience in a trading risk management / dealing role at a reputable FX/ CFD broker
  • Knowledge of multiple asset classes, including FX, Equities, Commodities, Indices and Cryptos
  • University degree in Mathematics, Finance, Economics, Computer Science/Engineering or any related field, postgraduate preferable.
  • Detailed Knowledge of MT4 and MT5 (Manager, Administrator, Trader) a must. Other trading platforms would an advantage.
  • Knowledge of trading technology would advantageous, eg: bridge technology, aggregators, etc
  • Ability to deal with multiple liquidity providers
  • Readiness to work in rotational shifts this job has a mix of early morning, late evening and occasional night shifts.
  • Very strong numerical and logical thinking and stress resistance;
  • Technical Knowledge of markets would be advantageous
  • Analytical and problem-solving skills
  • Excellent verbal and written communication skills in English, any other language will be considered an advantage.
  • Advanced knowledge of Excel amp; working knowledge of MS Office applications.
  • Comfortable with IT systems and trading technology
  • Providing internal support to the client facing team on trading related inquiries
  • Communication with counterparties
  • Strong team player
  • Good people managemen

Job Specification

Job Rewards and Benefits

Admiral Markets

Information Technology and Services - Minsk, Belarus
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