





Mid-level role, metro location, and common analyst title increase applicant density despite niche trading risk focus.
Specialized trading risk and regulatory knowledge limit transferability across industries.
Explicit 3–6 years plus domain knowledge and regulatory experience creates moderate hiring filters.
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Support and monitor trading risk processes across multiple asset classes, ensuring compliance with internal limits and regulatory requirements.
Collaborate with risk management and IT teams to implement and deploy risk management tools, controls, and policies within trading platforms.
Provide risk analysis, reporting, and training to stakeholders, and continuously optimize risk management workflows and frameworks.
3-6 years of relevant work experience in trading risk support or related functions.
Familiarity with trading systems, risk metrics, and regulatory frameworks (e.g., Dodd-Frank, MiFID II, EMIR).
Experience supporting or implementing risk control systems and tools in trading environments.
Advanced degree or certification in risk management preferred but not strictly mandatory (Master’s, CFA, FRM, or PRM mentioned as preferred).
Experienced in cross-functional collaboration between trading, risk, and technology teams, with operational responsibility for risk control implementation.
Skilled in monitoring multi-asset class risk metrics and regulatory compliance within trading environments.
Able to deliver actionable risk insights and improve risk management processes through analytical rigor and stakeholder engagement.