Multi Asset Risk Manager

September 8, 2026

Job Overview

  • Date Posted
    September 8, 2026
  • Location
  • Expiration date
    December 8, 2026

Job Description

  • Anywhere

Job Description

Job Title: Multi Asset Risk Manager

Job Description: As a Multi-Asset Risk Manager, you will monitor and manage risk across FX, CFDs, and other multi-asset products, implementing risk frameworks and controls to protect the firm’s exposure.

Responsibilities:

  • Monitor and manage risk across FX, CFD, and multi-asset trading portfolios in real-time.
  • Develop and implement risk frameworks, policies, and controls to mitigate exposure.
  • Conduct risk analysis, stress testing, and scenario analysis on trading positions.
  • Collaborate with trading, operations, and compliance teams to ensure adherence to risk limits.

Qualifications Needed:

  • 6+ years of risk management experience in multi-asset trading, fintech, or financial services.
  • Deep understanding of FX, CFD, and multi-asset markets, risk frameworks, and hedging strategies.
  • Strong proficiency in risk management tools, data analysis, and real-time monitoring systems.
  • Excellent analytical, communication, and stakeholder management skills; fluent in English.

What the Company Offers:

  • Competitive tax-free compensation with performance bonuses.
  • Opportunity to lead risk management for a global multi-asset broker.
  • Comprehensive health insurance and professional development support.

Are you interested in this position? Apply by clicking on the “Apply Now” button below!

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To apply for this job email your details to info@libertyloomtalent.com