Job Description
MAIN DUTIES AND RESPONSIBILTIES
•Oversee the company’s CFD portfolio and support Market and Capital Adequacy risk management
•Monitor liquidity provider specifications, margin updates, and trading conditions
•Coordinate with Risk Management, Tech Support, and Customer Service on account setups and operations
•Maintain accurate deal recording and daily P&L statements
•Track financial market news, corporate actions, and assess their impact on client accounts
•Monitor and maintain trading systems and tools within the department
•Execute hedging strategies across all Books
•Analyze client activity using risk software, detect patterns, and generate actionable insights
•Respond to inquiries from internal teams, regulators, or audits regarding client transactions and system performance
•Manage communication with third-party vendors on risk systems, liquidity, plugins, and infrastructure
•Categorize cl...
•Oversee the company’s CFD portfolio and support Market and Capital Adequacy risk management
•Monitor liquidity provider specifications, margin updates, and trading conditions
•Coordinate with Risk Management, Tech Support, and Customer Service on account setups and operations
•Maintain accurate deal recording and daily P&L statements
•Track financial market news, corporate actions, and assess their impact on client accounts
•Monitor and maintain trading systems and tools within the department
•Execute hedging strategies across all Books
•Analyze client activity using risk software, detect patterns, and generate actionable insights
•Respond to inquiries from internal teams, regulators, or audits regarding client transactions and system performance
•Manage communication with third-party vendors on risk systems, liquidity, plugins, and infrastructure
•Categorize cl...