About this role
Risk Dealing Executive Singapore Headquartered in Singapore with presence in the United States and Indonesia, Straits Financial serves as the financial services arm of the CWT Group, a global leading provider of integrated logistics and financial services. We provide a fully-integrated service for our clients to access the financial and commodity derivative markets and will continue to expand into key financial and commodity markets. We are seeking a Risk Dealing Executive assist the Risk Manager in day to day trading operations, liquidity providers (LPs), and risk management strategies. This role involves monitoring P&L volatility, managing risk exposure. The ideal candidate has trading platform experience (MT4/MT5) and risk management expertise in a fast-paced trading environment. Key Responsibilities • Oversee trading operations, liquidity providers (LPs), and risk management strategies to ensure optimal performance. • Monitor and manage P&L volatility and risk exposures, implementing price management strategies to mitigate risk and improve client delivery and profit consistency. • Continuously analyze trading system reports to identify potential risks and improve processes. • Ensure swift and effective actions are taken to manage and mitigate various trading risks. • Closely working with IT and Risk department for any operation maintenance and development • Troubleshoot system issues, managing system upgrades, document processes and providing technical support for users • Work closely with our external associates for resolving issues related to the trading platforms, systems and software • Coordinate with internal and external stakeholders, including third-party providers, to ensure a seamless and reliable trading experience for clients. • Work closely with cross-functional teams to optimize trading operations and achieve common business objectives. • Stay updated on market trends, economic developments, and regulatory changes to adapt strategies accordingly. • Requirements You should possess the following: • Minimum Diploma in Finance, Economics, Statistics, Mathematics, Engineering or any other relevant field. • Minimum of 2 years' experience in a similar position. • Good understanding of the Forex/CFD market. • Hands-on experience with trading platform systems, especially with MT4 / MT5, bridge solutions and risk management softwares • Strong analytical and problem-solving abilities for managing risk strategies. • Excellent communication, interpersonal, and teamwork skills. • Organised and methodological, with close attention to detail. • Problem solving and critical thinking skills. • Immediate availability would be preferred.
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