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Senior Risk Analyst

4-6 Years
  • Posted an hour ago
  • Be among the first 10 applicants

Job Description

About us

MIFX is a pioneer trading platform in Indonesia that is backed by a 25 years old market leader in the industry, Monex Investindo Futures. We are a futures broker facilitating forex, commodities, and index trading that is fully regulated and complies with BAPPEBTI regulations.

MIFX focuses on making the trading process #SemudahItu by prioritizing easy access, trading education, and providing the lowest prices to start trading where traders can buy 0.01 micro lots from our platform.

Led by a solid marketing-technology team that leverages lean analytics and agile product development with a vision of creating the most seamless trading experience for the millennial generation through the MIFX platform, we are proud to continuously growing our volumes by improving our customer experience and people's experience for sure to grow with us.

We are looking for more talents to create a positive impact.

#SemudahItu join us and be part of Indonesia's next largest fintech company!

Are you ready to be a part of MIFX for the upcoming big wave

What you will do:

  • Conduct risk assessments related to financial markets, liquidity, trading operations, and operational risks associated with Forex and CFD trading activities.
  • Develop, implement, and maintain risk management policies, procedures, risk appetite, and escalation frameworks tailored to a Liquidity Provider and Forex trading environment.
  • Create and monitor risk mitigation strategies in alignment with ISO 31000 principles, including risk identification, assessment, treatment, monitoring, and continuous improvement.
  • Develop and maintain key risk indicators, key control indicators, risk dashboards, and management reports by highlighting key exposures, emerging risks, and recommended actions.
  • Collaborate with Legal, Compliance, Product, Dealing, IT, and Operations teams to address regulatory inquiries, audits, incident follow-ups, and risk control improvements.
  • Support emergency response planning and Business Continuity Planning related to operational disruptions.

Education

  1. Bachelor's Degree, Master's Degree / Post Graduate Degree, major in Business, Administration, Communication, Industrial Engineering or a related field.

Experience

  • Minimum 4 years of experience in Enterprise Risk, Operational Risk, Market Risk, Liquidity Risk, Trading Risk, or a related risk management function within financial services, brokerage, liquidity provider, fintech, banking, insurance, or other regulated financial industries.
  • Experience or familiarity with Forex, CFD, brokerage operations, liquidity provider and its related operational processes is highly preferred.

Additional Knowledge

  • Strong understanding of operational risk, financial risk, liquidity risk, market risk, and trading-related risk.
  • Strong analytical skills with the ability to assess incidents, identify root causes, evaluate control gaps, and recommend practical risk mitigation actions.
  • Strong communication, coordination, stakeholder management, and cross-functional collaboration skills.
  • Self-starter with a proactive attitude, strong ownership, sound judgment, and the ability to work independently.
  • Able to remain calm and structured during high-pressure incidents, market disruptions, or urgent escalation situations.
  • Excellent in English is preferred

More Info

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About Company

Job ID: 151757607