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2024-04-04
STELLE NICHT MEHR VAKANT - BITTE NICHT MEHR BEWERBEN!!!
David Kennedy Recruitment is working with a young financial/FX company led by a management team with over 20 years of experience. Their mission is to simplify trading complexities and deliver excellence to clients across multiple continents and countries. The successful candidate will be responsible for overseeing the dealing operations and managing the risk associated with trading activities in the forex financial company.
Head of Dealing and Risk Manager
Location: Remote from anywhere in the world
Employment type: Service Agreement/Self-employment (no Employment contract option available)
Remuneration: Fixed monthly payment
Responsibilities:
- Manage and oversee all aspects of dealing operations, including trade execution, order management, and liquidity provision
- Develop and implement trading strategies to optimize trading performance and profitability
- Monitor market conditions and execute trades in accordance with established guidelines and risk parameters
- Ensure compliance with regulatory requirements and company policies in all dealing activities
- Develop and implement risk management policies and procedures to identify, assess, and mitigate trading risks
- Monitor and analyze trading positions, exposures, and market developments to identify potential risks and opportunities
- Implement risk control measures, such as position limits, stop-loss orders, and hedging strategies, to manage risk exposure effectively
- Conduct regular risk assessments and stress tests to evaluate the resilience of trading portfolios and ensure compliance with risk limits
- Lead and manage the dealing team, providing guidance, coaching, and support to ensure high performance and adherence to best practices
- Foster a culture of collaboration, accountability, and continuous improvement within the dealing team
- Conduct performance evaluations, set objectives, and provide feedback to team members to support their professional development and growth
- Prepare regular reports on trading performance, risk exposures, and compliance with risk management policies for senior management and regulatory authorities
- Conduct post-trade analysis and performance attribution to assess the effectiveness of trading strategies and identify areas for improvement
Requirements:
- Excellent command of English language
- Bachelor's degree in finance, economics, mathematics, or a related field. Advanced degree (e.g., MBA, CFA) is preferred
- Proven experience in forex trading and risk management, with at least [2-3 years] of experience in a similar role within the financial industry
- In-depth knowledge of financial markets, trading instruments, and risk management techniques
- Strong analytical skills and ability to analyze complex trading data and market information
- Excellent leadership and team management skills, with the ability to motivate and inspire team members to achieve performance targets
- Effective communication and interpersonal skills, with the ability to interact confidently with stakeholders at all levels
- Sound judgment and decision-making skills, with the ability to make timely and informed decisions in a fast-paced trading environment
- Proficiency in trading platforms, risk management systems, and financial analysis tools
Offer:
- Competitive remuneration
- An opportunity to build a company and grow in it
- Private medical insurance
- The freedom and flexibility of fully remote work
- Collaborative and supportive team environment
Apply Now!
(direct link to the job offer)
At the application please refer to the FAM-jobs webpage.
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