Head of Risk Management

FADAC RESOURCES INC

Dubai

On-site

AED 300,000 - 620,000

Full time

14 days+
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Benefits offered by this job

Executive-level compensation package
International team environment
Career development opportunities

Job summary

FADAC RESOURCES INC is seeking a senior Risk Manager in Dubai to lead global risk strategy for a Forex/CFD brokerage. You will oversee market, liquidity, operational, and counterparty risk across trading operations and manage A-Book, B-Book and Hybrid models to optimise profitability and risk exposure.

The role requires hands-on experience with MT5 Manager, liquidity solutions, and FIX API connectivity, with leadership to build and mentor a high-performing Risk Management team in an

Qualifications

  • 3-5 years of risk management experience in forex/CFD brokerage.
  • Strong knowledge of A-Book, B-Book and Hybrid execution models.
  • Hands-on experience with brokerage trading infrastructure (MT5, liquidity providers).
  • Experience with FIX API connectivity and liquidity aggregation.

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 hedging strategies with liquidity providers and define exposure limits.

Skills

Risk management
Forex/CFD brokerage
A-Book / B-Book / Hybrid
MT5 Manager
Liquidity solutions
FIX API connectivity
Leadership

Tools

MT5 Manager
PrimeXM
Centroid
oneZero

Job description

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 of 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
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