Risk Analyst
Posting Date:20 Nov 2024 |Close Date:18 Feb 2025
Job Responsibilities:
Actively monitor global financial markets, including foreign exchange, global stock indices, and commodities, staying updated on relevant news and developments.
Investigate real-time alerts, understand their impact, and ensure that risks remain within policy limits, following established procedures.
Support the optimal performance of trading platforms by troubleshooting issues, configuring platforms (MT4/MT5), and assisting with trade-related concerns under guidance.
Prepare detailed daily, weekly, and monthly reports on trading activity, market trends, and risk assessments, providing actionable insights to senior management.
Perform additional tasks as needed, demonstrating adaptability to meet evolving company priorities.
Job Requirements:
Candidate must possess at least SPM/STPM/Diploma/Bachelor's degree in Economics, Finance, Accounting, Mathematics, Statistics, or a related field.
At least 1 to 2 years of working experience in a similar field.
Strong attention to detail, ensuring accuracy in market monitoring and analysis.
Excellent numerical and analytical skills.
Strong communication and interpersonal skills, with the ability to work collaboratively and clearly convey information.
Proficiency in computer systems and Microsoft Office applications, especially Microsoft Excel.
Willingness to work in shifts to cover various market hours.
Knowledge in CFD industry is highly desirable.
Preferred familiarity with Python and MySQL to enhance technical skills in the trading environment.
Good planning, problem-solving, organization skills, and strong communication skills.
Working location KL area, walk 2 minutes to LRT station.
Your Benefits:
Annual Bonus
Annual Increment
Public Holidays Entitlement (All Federal & State Holidays)
Career Progression in 1-2 years
Sub Specialization:Finance; Finance Analyst; Business Analyst
Type of Employment:Permanent
Minimum Experience:3 Years
Work Location:Selangor#J-18808-Ljbffr