Analyst-Risk Management

  • Post Date: 5 February 2024
  • Apply Before: 5 May 2024
Job Description

Apply to :Resume@career-hunters.com

Reports To: CEO

Key Responsibilities: 

  • Market Analysis: Conducting in-depth analysis of currency markets to identify trends, patterns, and potential trading opportunities. This involves studying economic indicators, geopolitical events, and other factors that can impact currency movements.
  • Risk Management: Assessing and managing the risk associated with trading positions. Developing strategies to mitigate potential losses and protect the company’s financial interests.
  • Reporting and Documentation: Providing regular reports and updates on market conditions, trade performance, and relevant news to the CEO.

 Candidate Profile:

  • Requirement Open for Lebanese or Indian male Candidates
  • Bachelor’s degree with mandatory, CFA or FRM certification is a plus
  • Experience of 0-5 years in the relevant field