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FX Risk Manager / Dealer

AudaCity Capital Management

Ireland

On-site

EUR 50,000 - 75,000

Full time

14 days ago

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Job summary

AudaCity Capital Management, a leading prop trading firm, seeks a Risk Management professional to oversee market risk exposure and enhance risk controls. The role requires a strong analytical mindset and at least 3 years of experience in financial services. Offering a mid-senior level position with ample growth opportunities in a dynamic environment.

Benefits

Leadership role with growth opportunities
Broad learning opportunities
Work in a company with a solid track record of performance

Qualifications

  • At least 3 years of experience in a similar role within financial services.
  • Strong analytical skills and comfort with numerical data.
  • Excellent communication and business partnering skills.

Responsibilities

  • Monitor and analyze market risk exposure within established parameters.
  • Perform daily analysis of VaR and other key risk metrics.
  • Provide daily, monthly, and periodic risk reports highlighting key risk factors.

Skills

Communication
Analytical Skills
Attention to Detail

Job description

AudaCity Capital is a progressive and flourishing prop trading firm and trading education provider based in London. We currently have a team of highly trained professional traders managing the company’s extensive funds on our City of London trading floor.

We believe that investing heavily in talented people who want to grow with us is the key to success. We are seeking like-minded professionals to develop their skills and join our team.

Our trading encompasses all major asset classes across multiple exchanges using our own capital, and we do not handle any client funds or have customers. By joining our team, you become part of our success.

We are market leaders because of our strong entrepreneurial culture and our vision to combine intellectual capital with advanced technology to build for the future. Our trading strategy combines skills, talent, and industry-leading software developed in-house.

We prioritize strict and prudent risk management, backing our trading decisions with proper controls to mitigate risk effectively.

The Role

You Will Be Responsible For

  • Monitoring and analyzing market risk exposure within established parameters.
  • Performing daily analysis of VaR and other key risk metrics.
  • Conducting market risk stress testing.
  • Providing daily, monthly, and periodic risk reports, highlighting key risk factors.
  • Partnering with stakeholders to identify, assess, and mitigate operational risks.
  • Evaluating internal controls and suggesting improvements.
  • Analyzing risk incidents, performing root cause analysis, and recommending controls.
  • Supporting the implementation of operational risk policies and procedures.
  • Ensuring proper documentation of risks, controls, and procedures.
  • Liaising with internal and external auditors regarding internal controls.
Ideal Profile
  • At least 3 years of experience in a similar role within financial services and internet sectors.
  • Excellent communication and business partnering skills.
  • Working knowledge of forex markets.
  • Strong attention to detail and high-quality work delivery.
  • Strong analytical skills and comfort with numerical data.
  • Highly goal-driven and effective in fast-paced environments.
What's on Offer?
  • Work in a company with a solid track record of performance.
  • Leadership role with growth opportunities.
  • Broad learning opportunities.
Seniority Level
  • Mid-Senior level
Employment Type
  • Full-time
Job Function
  • Finance and Sales
Industries
  • Financial Services, Technology, Information and Internet, Wholesale Import and Export
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