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Risk Analyst (Forex / CFD Brokerage)

Hiring from
Jordan, Lebanon
Work type
Remote
Posted
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Role Overview

We are looking for a Risk Analyst to oversee market and client risk within our forex/CFD brokerage environment. The role will focus on real-time exposure monitoring, trading risk analysis, client behaviour, risk controls and collaboration with the Dealing Desk and other key teams.

Key Responsibilities

  • Monitor real-time and end-of-day exposure across FX, metals, indices, crypto and other trading instruments.

  • Analyse net exposure, concentration risk, volatility risk and trading portfolio performance.

  • Investigate and identify abusive or high-risk trading behaviours, including latency arbitrage, toxic flow, bonus abuse and scalping anomalies.

  • Develop and maintain risk flags, client segmentation and risk scoring to identify high-risk accounts and trading patterns.

  • Define and monitor leverage limits, margin requirements, exposure thresholds and other risk parameters.

  • Work closely with the Dealing Desk on hedging strategies, execution risks and abnormal market conditions.

  • Prepare daily exposure reports, risk dashboards and trading incident analysis for management.

  • Recommend and implement appropriate risk mitigation actions, including leverage restrictions, margin adjustments and trading condition changes.

  • Maintain and improve risk policies, procedures, controls, and escalation processes.

  • Work with Compliance, Operations and Technology teams to strengthen risk monitoring and automate risk controls where possible.

  • 3+ years of risk management experience within a Forex/CFD brokerage, prop trading, liquidity provider or similar trading environment.

  • Strong practical knowledge of market risk, client risk, exposure management, leverage, margin and stop-out mechanisms.

  • Hands-on experience with MT4/MT5 and trading/risk monitoring.

  • Strong understanding of trading behaviour and abuse patterns, including toxic flow, latency arbitrage, bonus abuse and scalping.

  • Strong analytical skills with advanced Excel; experience with BI tools, SQL, Python or other risk/analytics tools is an advantage.

  • Ability to analyse large amounts of trading data and translate findings into clear risk decisions and actions.

  • Strong communication skills and the ability to work with senior stakeholders in a fast-paced trading environment.


Nice-to-Have

  • Experience implementing risk rules/alerts via BI, SQL, Python, or internal tooling.

  • Familiarity with liquidity/prime brokerage setups (A-Book/B-Book hybrid models).

  • Previous work in regulated environments (CySEC, MFSA, SCA, etc.).

  • Experience designing bonus/promotion risk controls and eligibility frameworks.

What Success Looks Like (90–120 Days)

  • Real-time risk monitoring and escalation framework running smoothly with clear ownership.

  • Improved detection of toxic flow and abusive trading patterns with measurable reduction in losses.

  • Cleaner governance: documented risk decisions, better dashboards, clear KPIs, faster incident resolution.

  • Risk parameters optimized across instruments and client segments without harming healthy volume.


What We Offer

  • High-ownership role with direct impact on trading performance and risk resilience.

  • Remote position with a global team.

  • Strong growth runway and autonomy to build best-in-class risk systems.

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