Palk täpsustamataTuruvahemik: 2800–4000 €
Responsibilities
Monitoring client positions and firm-wide risk exposure in real time, communicating margin requirements and risk events, and deciding on forced position reduction or liquidation when limits are breached; analysing trading strategy risk profiles, including options and derivatives, and contributing to the risk management framework, risk engine, and related automation tools.
Requirements
- Technical degree
- Risk Manager experience
- Brokerage experience
- Derivatives knowledge
- Margin trading
- Market risk
- Options modeling
- Quantitative analysis
- Programming experience
- English B1+
Employer offers
- VISA sponsorship
- Relocation package
- Paid vacation
- Paid sick leave
- Additional days off
- Health insurance support
- Tax support
- Sports clubs
- Team building