Key Responsibilities:
Trade Execution & Monitoring
- Monitor client trading activity across FX, indices, commodities, metals, equities and crypto CFDs in real time
- Oversee order execution quality, slippage, requotes and rejected trades
- Handle manual executions, trade adjustments and corrections when required
- Respond quickly to price feed issues, spikes, gaps and off-market quotes
Risk Management & Exposure
- Monitor net exposure and client book positions
- Flag toxic flow, latency arbitrage, scalping abuse and other trading-pattern anomalies
- Support hedging decisions with liquidity providers per the firm's risk policy
- Track margin levels, margin calls and stop-outs, especially around high-impact news and market open/close
Platform Administration (MT4 / MT5 / other)
- Configure symbols, spreads, swaps, leverage, trading sessions and contract specifications
- Manage client groups, account settings and platform permissions
- Maintain bridge/LP connectivity and escalate technical issues
- Apply corporate actions, dividends and rollover adjustments
Pricing & Liquidity
- Monitor pricing from liquidity providers and compare feeds for accuracy
- Adjust markups, spreads and swap rates within approved parameters
- Liaise with LPs on execution issues, reconciliation and connectivity
Reporting & Reconciliation
- Prepare daily P&L, exposure and risk reports for management
- Reconcile trades and positions between platform, bridge and LPs
- Investigate and resolve client trade disputes and complaints with clear documentation
Compliance & Controls
- Ensure execution practices align with best-execution and regulatory requirements
- Support internal audits, regulatory reporting and AML/abuse monitoring
- Maintain accurate records of all manual interventions and dealing decisions
Qualifications, Education & Training
- 2+ years' experience on a dealing desk at a CFD/FX broker or liquidity provider
- Strong hands-on knowledge of MT5 Manager and Administrator (bridge experience such as oneZero, PrimeXM, Centroid)
- Solid understanding of CFD products, margin, leverage, swaps and hedging models
- Strong Excel skills; SQL, Python or reporting tools are an advantage
- Calm under pressure, sharp attention to detail and fast decision-making
- Willingness to work rotating shifts, including early mornings/late nights
- Bachelor's degree in Finance, Economics, Mathematics or related field