Related skills
reporting governance cfd fx stress_testing๐ Description
- Own and drive CFD risk strategy for MENA per CMA
- Oversee market and trading risk: exposure, margins, hedging
- Set risk limits for liquidity providers and counterparties
- Oversee liquidity, capital adequacy and stress testing
- Provide risk governance for product disclosures and conduct
- Ensure pricing integrity and best execution governance
๐ฏ Requirements
- University degree + 8+ years in risk mgmt in regulated finance
- CMA regulatory knowledge for CFDs; CMA approval a plus
- Certifications: FRM/PRM/CFA preferred
- Governance: boards, escalation, and audit experience
- Technical: market risk, margins, hedging and stress testing
- Leadership: build/lead independent risk function and challenge
๐ Benefits
- Competitive Salary
- Work-Life Harmony
- Generous Time Off
- Employee Referral Program
- Comprehensive Health Benefits
- Workation & Volunteer Days
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