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Risk Assessment Manager
2 months ago
Position Summary: The Risk Assessment Manager will collaborate closely with the executive team, including the CEO and CCO, to enhance, support, and sustain a comprehensive risk management framework, policies, and reporting systems. This role demands exceptional communication abilities, multitasking skills while maintaining a focus on details, and a solid understanding of the futures and options sector.
Key Responsibilities:- Oversee and evaluate the risk and trading exposure of clients.
- Perform risk exposure analyses, including stress testing methodologies.
- Analyze trading activities of client accounts to ensure compliance with fair trading standards.
- Supervise the risk management processes within the organization.
- Continuously refine and enhance the firm’s risk management framework.
- Issue margin calls and mitigate position risks as necessary.
- Participate in the development and enhancement of the firm’s Risk Management Procedures.
- Facilitate risk management training workshops.
- Innovate new programs and tools to strengthen our extensive risk management infrastructure.
- Lead various short- and long-term initiatives to boost efficiency and control coverage.
- Undertake additional responsibilities as assigned.
- 3-5 years of relevant industry experience.
- Bachelor's degree in Finance, Accounting, Economics, Mathematics, or a related technical/business field.
- Proficient understanding of regulated financial instruments, including derivatives, options, and futures.
- Meticulous attention to detail with the capability to manage multiple priorities effectively.
- Ability to collaborate within a team and contribute positively in a cooperative environment.
- Dependable, committed, and possessing a high level of integrity.
Position Type: Full-time
Work Schedule: 40 hours per week, Monday through Friday
Status: Exempt
Work Location: Hybrid