Direct Employer
Posted: Saturday, 11 July 2026 at 4:10 PM (UAE time)
Last updated 7 hours ago
Applications close: 9 Sept 2026
🗓 Applications close: Wednesday, 9 September 2026 at 4:10 PM (UAE time)
- Develop and execute the company's global risk management strategy
- Oversee market, liquidity, operational and counterparty risk across trading operations
- Manage A-Book, B-Book and Hybrid execution models to optimise profitability and risk exposure
- Monitor client flow, trading behaviour and exposure across all instruments
- Design and implement hedging strategies with liquidity providers
- Define leverage policies, exposure limits and risk controls
- Produce executive risk reports and present key findings to senior management
- Lead risk management during periods of market volatility and major market events
- Collaborate with Dealing, Compliance, Finance and Executive teams
- Build, mentor and develop the Risk Management team.
Requirements:
- Candidate must be currently available in Dubai
-
5+ years' experience in Risk Management within a Forex/CFD brokerage
- Strong knowledge of A-Book, B-Book and Hybrid execution models
- Hands-on experience with MT5 Manager and brokerage trading infrastructure
- Experience with PrimeXM, Centroid, oneZero or similar liquidity solutions
- Strong understanding of hedging, liquidity management and institutional trading operations
- Excellent analytical, decision-making and leadership skills
- Experience managing global brokerage operations
- Knowledge of FIX API connectivity and liquidity aggregation
- Experience working with multiple liquidity providers and institutional counterparties
Contact the employer via the details below.
📧 Email CV: gulfrecruitments.ae@gmail.comEarn rewards when they get hired.