BlockVerse Solutions L.L.C. is seeking an experienced and analytical
Forex Risk Manager
to oversee trading risk, manage exposure, and ensure adherence to internal and regulatory risk guidelines. This role is crucial to the client's
forex brokerage and prop trading operations
, and will involve real-time risk monitoring, liquidity provider assessment, and strategic risk mitigation planning.
Key Responsibilities:
Monitor real-time trading exposure across all forex accounts and platforms
Assess and manage risk across
A-Book and B-Book models
Define, implement, and adjust
risk parameters, limits, and margin settings
Perform daily reconciliation of client trades, slippage, and abnormal activity
Collaborate with trading desk, liquidity providers (LPs), and technology teams
Analyze market volatility and generate
daily/weekly risk reports
for leadership
Recommend adjustments to risk models based on trader behavior and market trends
Ensure compliance with
risk-related policies and regulatory guidelines
Requirements:
Bachelor's degree in Finance, Economics, Risk Management, or related field
3-5 years of experience in forex risk management or dealing desk
Strong understanding of
MT5 platforms, liquidity bridges (e.g., oneZero)
Knowledge of risk exposure metrics, hedging strategies, and stop-out logic
Familiarity with
order book dynamics, slippage control, and margin call thresholds
Proficient in Excel, risk reporting tools, and data analysis
Strong communication and decision-making skills
Preferred Experience:
Worked with LPs or ECNs (e.g., LMAX, FXCM, B2Broker)
Knowledge of
regulatory risk requirements
Exposure to crypto or CFD instruments is a plus
Job Type: Full-time
Experience:
* Forex Risk Management: 2 years (Preferred)
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