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Job Description

· Assessing and managing trading risks. Including market, credit, and liquidity risks.

· Implementing hedge positions while adhering to risk limits set by the company.

· Changing settings on the liquidity aggregator to accommodate different market conditions.

· Monitoring and analyzing market prices, spreads, and liquidity providers to ensure competitive pricing for clients.

· Providing reports to management and relevant stakeholders as required.

· Monitor the capital adequacy of the company and inform the relevant people in case it drops below the pre-determined thresholds.

· Ensuring the company’s hedged exposure is correct and accurate.

· Monitoring the feed to ensure smooth pricing on all trading platforms.