Trading Risk Manager
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| Company Name | Traze |
| Company Type | Private |
| Job Type | Full-Time |
| Salary Range | Market Competitive |
| Location | Dubai, Dubai, United Arab Emirates |
| Qualifications | None / No Formal Education |
| Experience | 10 Year+ |
Job Overview
Traze is seeking a highly skilled Trading Risk Manager to join their team in Dubai, United Arab Emirates. In this crucial role, you will be responsible for identifying, assessing, and mitigating financial risks associated with trading activities, ensuring the stability and integrity of Traze’s innovative investment platform.
Company Overview
Traze is dedicated to creating a more accessible, fair, and transparent investment environment. They offer a platform that demystifies trading, providing tools and education for traders to enhance their skills and build bespoke portfolios. Traze, a licensed Financial Services Provider (FSP 48248) regulated by the FSCA in South Africa, emphasizes excellence and transparency in all its services and customer support, aiming to provide crystal clarity in the world of trading.
Quick Details
- Salary Range: Market Competitive
- Job Type: Full-time
- Qualifications: None / Open to all applicants
- Experience: 10 Year+
Key Responsibilities
- Develop and implement robust risk management frameworks and policies for trading operations.
- Monitor trading positions, market exposures, and P&L across various asset classes.
- Identify, assess, and quantify market, credit, operational, and liquidity risks.
- Ensure strict compliance with regulatory requirements and internal risk limits.
- Provide timely and insightful risk reports and recommendations to senior management.
- Collaborate effectively with trading desks and other departments to foster a strong risk culture.
Requirements
- Proven extensive experience in trading risk management within the financial services industry.
- Strong understanding of financial markets, products, and risk measurement methodologies.
- Proficiency in risk management software and advanced data analysis tools.
- Excellent analytical, quantitative, and problem-solving skills.
- Ability to communicate complex risk concepts clearly and effectively to diverse audiences.
- Bachelor’s degree in Finance, Economics, Mathematics, or a closely related field.
Benefits
- Opportunity to shape the risk framework of an innovative and rapidly growing trading platform.
- Work in a dynamic and fast-paced FinTech environment committed to transparency.
- Competitive salary package and performance-based incentives.
- Significant professional development and career growth opportunities.
- Be an integral part of a team dedicated to making investing more accessible.
- Exposure to international financial regulations and diverse market dynamics.
