Our client is a professional securities trading platform. The company provides access to numerous global markets, including currencies, CFDs, and commodities. They are looking for a Dealing / Risk Manager to join their team.

Responsibilities:

  • Ensuring all trading platforms run as expected
  • Ensuring risk is within policy limits at all times
  • Managing compliance with the company policies
  • Assisting with products development
  • Monitoring market risk
  • Facilitating short selling
  • Monitoring and investigating real-time alerts
  • Authorising orders through pre-trade filters
  • Uphold the Market Misconduct Policy
  • Assess post-trade market alerts
  • Managing margin Calls / liquidations
  • Liaising with Prime Brokers and Providers
  • Executing hedge trades
  • Troubleshoot platform or trade-related issues

Requirements

  • Minimum 3 years of finance experience and ideally knowledge of the markets is preferred.
  • A Tertiary Qualification in Accounting, Economics, or Finance is required.
  • Knowledge of Iress, Metatrader, and OneZero will be highly regarded.
  • RG146 accreditation / valued FRM are preferred

Location: Melbourne/Sydney
Work Type: Full Time
Industry: Finance

Apply for this position

Allowed Type(s): .pdf, .doc, .docx