to oversee trading operations, monitor client activity, and manage risk exposure using the MetaTrader 5 platform. The ideal candidate will have strong analytical skills and in-depth experience in MT5 Manager and Admin within a forex or CFD brokerage environment.
Key Responsibilities:
Manage risk exposure, including A-Book/B-Book strategies, spreads, and liquidity provider performance.
Configure and maintain trading parameters such as leverage, margin requirements, and stop-out levels.
Analyze client trading behavior and detect unusual or high-risk trading patterns.
Generate daily, weekly, and monthly reports related to client exposure, profitability, and overall trading risk.
Collaborate with liquidity providers to maintain efficient pricing and execution.
Ensure internal risk policies and procedures are always followed.
Requirements:
Minimum 2 years of experience in a similar role within a forex or CFD trading firm.
Strong hands-on experience with MetaTrader 5 Manager risk analysis.
Deep understanding of market and operational risk in online trading environments.
Developing and implementing risk management plans.
Familiarity with liquidity bridge systems (e.g., OneZero, PrimeXM) is an advantage.
Ability to identify and resolve complex issues related to risk and trading strategies.
Benefits:
As per UAE labor law
Job Types: Full-time, Permanent
Pay: AED5,000.00 - AED8,000.00 per month
Experience:
* Forex of CFD trading Firm: 2 years (Required)
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