Get more replies from employers
Send a job-specific resume in minutes.
Finlync Company Limited is seeking a hands-on Senior Risk Manager to oversee trading risk management, operational controls, and real-time monitoring across our brokerage and trading environment. This role focuses on ensuring trading stability, managing market and operational risks, and coordinating during critical events.
The ideal candidate brings strong risk judgment with execution capabilities in a fast-paced trading setting, and is comfortable leading a team while collaborating with internal
We are seeking a hands-on Senior Risk Manager to oversee trading risk management, operational controls, and real-time monitoring across our brokerage and trading environment. This role is responsible for ensuring trading stability, managing market and operational risks, and driving effective coordination during critical market events and incidents. The ideal candidate combines strong risk judgment with solid execution capabilities in a fast-paced trading environment.
Oversee real-time trading activities, including pricing feeds, order execution, liquidity performance, and system stability
Monitor client trading behavior, identify high-risk exposure, abnormal trading patterns, and execution anomalies, and take timely action when needed
Manage trading risks during volatile market conditions, major economic events, and periods of abnormal market activity
Lead the handling of trading-related incidents, including execution issues, liquidity disruptions, and system exceptions, ensuring timely resolution and post-incident review
Coordinate closely with internal teams and liquidity providers (LPs) to resolve operational and trading issues and improve execution quality
Review trading-related operational activities from a risk and control perspective, escalating suspicious or exceptional cases when necessary
Continuously optimize risk controls, monitoring frameworks, escalation procedures, and reporting processes to strengthen overall operational resilience
Team management and coaching.
5+ years or above of experience in trading risk management, dealing, brokerage operations, or related risk control functions
Strong understanding of CFD, FX, crypto, or multi-asset trading environments and their associated risk frameworks
Solid knowledge of execution, liquidity management, slippage, margin control, and trading operations
Strong ownership mindset with the ability to stay hands-on and make sound decisions under pressure
Excellent analytical skills, attention to detail, and problem-solving capabilities
Strong communication and cross-functional coordination skills
Good command of English and Chinese.