Responsibilities
- Monitor day-to-day risk across EU and US sessions, including exposure, client activity, trade alerts, pricing, spreads, and liquidity.
- Perform risk analysis relating to market exposure, client flow, trading behavior and system functionality.
- Analyze trade flow, execution quality, spreads, and latency.
- Maintain firm-wide exposure limits through hedging, reconciliation, and other risk-mitigation strategies.
- Support the development refinement of hedging strategies to optimize risk control and revenue outcomes.
- Administer and support trading platforms and liquidity bridges (MetaTrader, DX, cTrader, TradeLocker).
- Partner with global teams to implement company-wide trading risk initiatives and deliver longer-term risk mitigation projects.
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