Head of Risk Management
Job Description and Requirements
RESPONSIBILITIES:● 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:
● 3–5+ 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.
OFFER:
● Competitive base salary
● Executive-level compensation package (FX/CFD brokerage industry)
● Senior leadership role with full strategic ownership
● Opportunity to join an international Forex company
● Dynamic, collaborative, and multicultural working environment
● Ongoing training, coaching, and career development opportunities.
● Be part of a dynamic international team with positive and friendly atmosphere
● Guidance and tools to reach your full potential.



