Risk Management Director

1 day ago


hong kong, Hong Kong SAR China DOO HOLDING GROUP LIMITED Full time

Join Doo Group – Explore α Better Future Doo Groupis a global financial services group with FinTech as its core. With our 10 major business lines, spanning Brokerage, Wealth Management, Property, Payment & Exchange, FinTech, Financial Education, Health Care, Consulting, Cloud, and Digital Marketing, Doo Group has seamlessly provided clients with comprehensive products and services across the world. Through a one-stop approach, Doo Group remains committed to helping our clients achieve an ideal financial life while moving towards a better future together Looking for a New Challenge? Join Us as We Expand Globally As we continue our global business expansion, we’re on the lookout for talented individuals who are motivated to support our strategic goals and initiatives. Join a team that values innovation and growth. DOO you have what it takes? We are looking for an experienced and dynamicRisk Management Directorto oversee our risk management team and ensure the effective identification, assessment, and mitigation of risks associated with CFD trading activities. The ideal candidate will have a strong background in risk management, leadership experience, and a deep understanding of CFD products and financial markets. What you’ll be working on: Strategic Leadership & Governance Define and lead the enterprise risk management strategy, policies, and governance structure aligned with the company’s strategic objectives. Collaborate with the executive team to integrate risk considerations into business planning and key decision-making processes. Provide strategic guidance to the Risk Management Team and ensure operational excellence across all risk functions. Chair or actively participate in internal risk committees, providing oversight and direction on key risk issues. Risk Oversight & Framework Development Oversee the design and implementation of comprehensive risk management frameworks for market, credit, operational, and liquidity risks—particularly in relation to CFD trading. Develop and refine the company’s risk appetite statement and risk tolerance thresholds in collaboration with key stakeholders. Lead initiatives to enhance risk data analytics and scenario planning capabilities. Build and optimize automated risk models and systems to improve real‑time monitoring and decision-making. Risk Monitoring, Controls & Reporting Ensure robust monitoring of trading exposures, margin requirements, counterparty risks, and market volatility. Review and sign off on critical risk reports for the Board and senior executives, delivering clear insights and actionable recommendations. Drive continuous improvements in real‑time risk surveillance systems and alerting mechanisms. Stakeholder Engagement & Communication Serve as the principal risk advisor to senior leadership, traders, and external regulators. Represent the company in external discussions with auditors, regulators, and counterparties on risk‑related matters. Drive internal risk culture transformation, promoting awareness and proactive risk mitigation throughout the organization. Regulatory Compliance & Industry Best Practice Ensure adherence to global regulatory standards related to trading risk. Monitor evolving regulatory requirements and best practices to ensure the company’s risk policies remain up‑to‑date and compliant. Technology & Innovation in Risk Management Partner with technology, data, and product teams to implement advanced risk analytics tools and automation. Oversee strategic technology projects aimed at enhancing risk infrastructure and reporting capabilities. What we’re looking for: Bachelor’s degree in Finance, Economics, Mathematics, or related field; Master’s degree and/or professional certifications (e.g., FRM, CFA) strongly preferred. Minimum 10 years of experience in risk management, with at least 5 years in a leadership capacity within the CFD trading or broader brokerage/financial services industry. Proven experience managing risk for 200,000+ active trading clients. Successful track record in designing and implementing automated risk models and systems. Experience leading global risk teams of 20+ members. In‑depth understanding of CFD products, margin trading, and market microstructure. Experience with enterprise risk systems, such as PXM, OneZero, Bloomberg, MT4/MT5, or other proprietary platforms. Exceptional analytical, strategic thinking, and leadership skills. Strong interpersonal and communication abilities; comfortable engaging with executives, regulators, and technical teams. Bilingual fluency in English (and other relevant languages as needed). What we offer: Rewarding career development with regional exposure Double pay Performance bonus Medical insurance Five‑day work week Daily snacks Friendly and open work environment with a young, energetic team More Job Information Salary 50000 - 70000 / MONTH Job Function 銀行 · 金融服務 - 風險管理 Location 觀塘區 Employment Term 全職 Employment Term 長期 Education 學士 #J-18808-Ljbffr



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