远程工作雷达

交易风险分析师

Trading Risk Analyst

职能支持限定地区(需当地身份)与中国几乎无重叠,需长期倒时差
公司TradeQuo
薪资未公开
工作地点Mexico
地域资格限定地区(需当地身份)
时区要求与中国几乎无重叠,需长期倒时差
用工类型Full Time
发布时间今天
数据来源Himalayas
前往 Himalayas 查看并投递 →
注意地域限制:该职位明确限定在 Mexico 招聘。如果你是位于中国大陆的求职者,通常需要当地工作身份才能投递,或需与雇主确认是否接受独立合同(Contractor)形式合作。
作息提示:与中国几乎无重叠,需长期倒时差。

职位:中级风险分析师
用工类型:全职
工作安排:远程办公 | 固定时间表
职位简介:
风险分析师将负责日常交易风险的监控和配置,识别并处理客户滥用情况,管理流动性提供商关系,并构建数据工具以保持风险框架的敏锐性。这是一个技术导向、注重执行的角色,直接在MT4/MT5管理员和经理中工作,每天使用Python和SQL,与合规、技术及高级风险管理层协作。
主要职责:

  • 识别和调查异常交易模式,包括延迟套利、返佣耕种和多账户滥用
  • 使用首选语言构建自动化风险监控工具和仪表板,Python/SQL是最受欢迎的工具集
  • 对被标记为可疑活动的客户账户进行审查并准备调查摘要
  • 监控所有账户组中的实时客户头寸、保证金水平和止损事件
  • 管理和优化MT4/5中的组设置,包括保证金规则、杠杆配置、执行规则和篮子保证金配置
  • 参与风险政策和内部控制的设计与文档编写
  • 及时响应管理层和支持请求

任职要求:

  • 在零售或机构外汇/差价合约经纪商的交易台、风险或后台岗位有2年以上经验
  • 具有MT4和MT5管理员和经理的实际操作经验——组配置、符号设置、杠杆规则,以及使用MT报告
  • 了解至少一个流动性桥接平台(例如PrimeXM、OneZero、FXCM Bridge、Gold-i或同等平台)
  • 有识别和调查客户滥用的经验:返佣耕种、套利、多账户协调、NBC利用
  • 强大的SQL技能——能够对交易数据库编写复杂查询用于调查和报告
  • Python熟练度用于数据分析、自动化脚本和构建与风险相关的工具

*由于申请人数众多,只有进入面试名单的候选人会收到通知。我们衷心感谢您的兴趣和理解。
最初发布于Himalayas

查看英文原文

Position: Mid Risk Analyst
Employment Type: Full-time
Working Arrangement: Remote | Fixed Schedule
About the Role:
The Risk Analyst will own day-to-day monitoring and configuration of trade risk, identify and action client abuse cases, manage LP relationships, and build data tooling to keep the risk framework sharp It is a technical, execution-focused role working directly in MT4/MT5 Administrator and Manager, writing Python and SQL daily, collaborating with Compliance, Tech, and senior risk leadership.
Key Responsibilities:

  • Identify and investigate abnormal trading patterns including latency arbitrage, rebate farming, and multi-account abuse
  • Build automated risk monitoring tools and dashboards using a preferred language with Python/SQL being the most desired toolset
  • Conduct client account reviews flagged for suspicious activity and prepare investigation summaries
  • Monitor live client positions, margin levels, and stop out events across all account groups
  • Manage and optimize group settings in MT4/5 including margin rules, leverage profiles, execution rules and basket margin configurations
  • Contribute to the design and documentation of risk policies and internal controls
  • Respond timely to management and support requests

Requirements:

  • 2+ years in a dealing desk, risk, or back-office role at a retail or institutional FX/CFD broker
  • Hands-on experience with MT4 and MT5 Administrator and Manager — group configuration, symbol settings,
  • leverage rules, working with MT reports
  • Working knowledge of at least one liquidity bridge platform (e.g. PrimeXM, OneZero, FXCM Bridge, Gold-i, or equivalent)
  • Demonstrated experience identifying and investigating client abuse: rebate farming, arbitrage, multi-account coordination, NBC exploitation
  • Strong SQL skills — comfortable writing complex queries against trade databases for investigation and reporting
  • Python proficiency for data analysis, automation scripts, and building risk-related tooling.

*Due to the high volume of applications, only shortlisted candidates will be contacted. We truly appreciate your interest and understanding.
Originally posted on Himalayas

本页面信息整理自 Himalayas,版权归原发布方所有。职位可能随时关闭,投递请以原始页面为准。 本站只做信息聚合展示,不参与招聘流程,也不向求职者收取任何费用。

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