Location: Dubai, UAE.
Department: Risk Management Reports to: Managing Director / Head of department
Employment Type: Full-Time
Job Overview
The Risk Manager is responsible for identifying, analyzing, and mitigating risks associated with trading activities on the CFD platform. This includes market risk, credit risk, operational risk, and liquidity risk. The ideal candidate will have deep knowledge of CFD products, financial markets, trading systems, and regulatory frameworks.
Key Responsibilities:
• Monitor and manage real-time trading risks across all CFD instruments (Forex, Indices, Commodities, Cryptos, Equities).
• Develop and implement risk policies, controls, and procedures tailored to the CFD environment.
• Maintain margin and leverage rules, and ensure adherence to risk limits.
• Monitor client exposures and identify potential high-risk accounts or abusive trading behavior (e.g...