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The role is centred around managing the regulated firm's trading book resultant from client trading which includes FX, Equity Indices, commodity and crypto derivatives whereby the firm requires 24-hour coverage. We principally only take proprietary risk in FX, Metals, Equity Indices and auto-hedge all other asset classes. All our clients are smaller institutional derivatives broker-dealers, money managers, hedge funds and IB's and we offer trading in Margin FX, and CFD's in Indices, Commodities, Metals and finally Digital Assets (Crypto's).
The candidate will work across the risk and operation functions monitoring and reconciling both client and executing broker trading platforms, middle and back-office systems, before entering the respective streams, which slightly flavoured individual projects to work towards their own stream.
This individual will establish strategies to achieve desired outcomes and implement these strategies. You will often work cross-functionally with internal business and gain access to executive level personnel on a daily basis so you must have strong communication skills, ideas, and extremely detail-oriented as we produce and analyse vast amount of data (with tools we have built). They will work within a blended team of programmers and those with a Finance/Economics domain knowledge background.
Responsibilities
Requirements
Job ID: 126524301