Senior Risk Manager

About the job

Sky Links Capital L.L.C is a Company registered in Dubai, United Arab Emirates, and regulated by the UAE’s Securities and Commodities Authority with license number 20200000235 under Category 5. The company operates as an introductory-only service provider and does not offer investment advice. Sky Links Capital Limited is a Limited Liability company with License No. GB24202837 which is authorized and regulated by the Financial Services Commission (FSC) in Mauritius. Sky Links Capital L.L.C. is a Limited Liability Corporation registered in St. Vincent with registration no. 3698LLC2024. At Sky Links Capital, we offer advanced trading tools, real-time market insights, and a seamless trading experience designed to meet your needs. With competitive spreads and fast execution, our platform empowers clients to trade confidently and efficiently. Our mission is to empower clients with the tools, resources, and dedicated support necessary to achieve their financial objectives effectively.

Role Description

This is a full-time on-site role for a Senior Risk Manager, located in Dubai, U.A.E. The role requires a deep understanding of A-Book, B-Book, and C-Book trading models. The Senior Risk Manager will be responsible for leading risk governance, ensuring optimal book management strategies, and protecting the firm from market, credit, and operational risks.

Qualifications

Key Responsibilities:

• Oversee and optimize risk exposures across A-Book, B-Book, and C-Book models.

• Manage exposure through hedging strategies, liquidity provider routing, and position netting.

• Define and implement risk thresholds and policies tailored to each book structure.

• Ensure risk practices are aligned with relevant regulatory frameworks (e.g. SCA).

• Oversee risk tools and integrations with trading platforms (MT5, Centroid Bridge).

• Evaluate liquidity provider (LP) performance and credit risk.

• Manage LP exposure limits and monitor pricing latency, rejections, and slippage.

• Ensure accurate real-time risk data feeds and automated alerts for margin calls, exposure breaches, and pricing anomalies.

• Monitor real-time exposures, P&L fluctuations, margin utilization, and liquidity gaps.


Qualifications:

• Experience in Risk Management, Financial Risk Assessment, and Risk Mitigation

• Deep understanding of A-Book/B-Book/C-Book structures, and hedging mechanics.

• Knowledge of Regulatory Compliance and Risk Control frameworks.

• Strong Analytical, Problem-Solving, and Decision-Making skills.

• Excellent Communication and Interpersonal skills.

• Proficiency in Risk Management Software and financial analysis tools.

• Bachelor’s or Master’s in Finance, Risk Management, Economics, Mathematics, or a related field.

• Professional certifications (e.g., FRM, CFA, PRM) are highly desirable.

• Minimum 7–10 years of experience in risk management within forex, CFD, or proprietary trading firms.

• Strong quantitative and analytical mindset.

• High attention to detail, with a proactive and decisive nature.

• Excellent stakeholder communication and leadership skills.

• Ability to thrive under market pressure and tight deadlines.

Why Choose Us

Competitive salary package and performance-based incentives.

Career growth and professional development opportunities.

Opportunity to work with a leading Multi-Asset Broker in a dynamic and innovative industry.

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Role: Senior Risk Manager