Risk Executive
Posted 3 days 10 hours ago by Hantec Markets Limited
Build Your Career with a Trusted Leader in Financial Markets
Hantec Markets has been a steadfast presence in the global trading industry for over 30 years, earning trust and recognition for our commitment to transparency, reliability, and client success. Established in 1990, we offer traders a secure environment with a comprehensive suite of CFD products spanning forex, commodities, indices, and more, all backed by innovative tools, educational resources, and exceptional support.
Join a company that values your career development as much as it values the success of its clients. At Hantec Markets, you'll find a collaborative, inclusive environment where trust, legacy, and long-term success are our guiding principles.
Position Overview
We are seeking a highly skilled Risk Executive - FX & CFD Trader / Dealer to join our team. This role is crucial in managing and executing foreign exchange (FX) and contract-for-difference (CFD) trades, ensuring risk is effectively controlled while maximizing profitability. The ideal candidate will have a strong understanding of market dynamics, risk management strategies, and execution processes across multiple asset classes, including currencies, indices, commodities, and equities.
This is an exciting opportunity for a detail-oriented and analytical professional who thrives in a fast-paced trading and risk management environment.
Key Responsibilities
Market Monitoring & Analysis
- Continuously track FX and CFD markets, analyzing price movements and economic trends to identify trading opportunities.
- Apply technical and fundamental analysis to develop and refine trading strategies.
- Assess geopolitical risks, central bank decisions, and macroeconomic factors impacting market volatility.
Trade Execution & Risk Management
- Efficiently execute FX and CFD trades across various trading platforms (e.g., MetaTrader 4/5, proprietary systems).
- Manage different order types, including market, limit, stop-loss, and take-profit trades.
- Optimize exposure across multiple positions to maximize returns while mitigating risk.
- Implement hedging strategies to safeguard against adverse market movements.
Strategy Development & Portfolio Management
- Develop, backtest, and implement algorithmic trading strategies to enhance trade efficiency.
- Diversify portfolio exposure across forex pairs, indices, stocks, and commodities for balanced risk management.
- Adapt trading strategies dynamically based on market liquidity and volatility.
Compliance & Continuous Improvement
- Ensure all trading activities adhere to regulatory and internal risk frameworks.
- Stay updated on market regulations, trading technology advancements, and risk management best practices.
- Collaborate with risk and compliance teams to maintain a structured risk-controlled trading environment.
Required Skills & Qualifications
Educational Background & Technical Skills
- Bachelor's degree in Finance, Economics, Business, Mathematics, or a related field.
- Experience using MetaTrader (MT4/MT5), Bloomberg Terminal, or similar trading platforms.
- Strong proficiency in Excel; knowledge of Python or other coding languages for quantitative trading is a plus.
Market Knowledge & Analytical Abilities
- Deep understanding of FX, CFDs, leverage trading, liquidity models, and price action strategies.
- Ability to analyze financial data quickly and make informed trading decisions.
- Strong grasp of order book dynamics, market liquidity, and slippage risks.
Execution & Risk Management
- Experience in trade execution, risk assessment, and strategy optimization.
- Ability to operate effectively in high-pressure, fast-moving trading environments.
- Proven ability to adapt trading approaches in response to evolving market conditions.
Communication & Collaboration
- Ability to work independently on trade execution while collaborating with risk and compliance teams.
- Strong written and verbal communication skills to report trading performance and market insights.
Preferred Experience
- Prior experience in FX & CFD trading within a prop firm, brokerage, or hedge fund.
- Background as a dealer, trader, or market analyst in a financial institution.
- Exposure to quantitative trading strategies, algorithmic trading, and automated risk models.
- Familiarity with compliance frameworks governing FX and CFD trading.
What Hantec offers in return
- Competitive compensation
- Annual Leave: 22 working days, 1 additional day of annual leave for each year of service with the company (capped at 25 days); excluding bank holidays
- Life assurance plan (including24/7 online GP appointments, Mental health support, nutrition advice, fitness plans, second medical opinions and health checks)
- Employee of the Quarter Program - with Certification and Prize
- An opportunity to grow and establish a long-term career
- Inclusion in the annual discretionary bonus pool
- Company Pension