Risk Hedging Manager / Director (Mandarin Speaking)
Hyphenconnect
Posted: April 29, 2026
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Quick Summary
The Risk Hedging Manager / Director role requires a strong background in finance and risk management, with expertise in real-time monitoring, hedging strategies, and automated model development.
Required Skills
Job Description
My client is a financial services company and looking for a Risk Hedging Manager / Director roles.
Job Description
• Lead real-time monitoring of client net exposure and position concentration across FX, XAUUSD, indices, and commodities to ensure platform stability.
• Develop and execute A-Book/B-Book strategies, managing liquidity provider (LP) relationships and optimizing hedging costs.
• Design and enhance automated hedging models—including time-based and dynamic logic—while configuring risk management frameworks.
• Detect and mitigate abnormal trading behaviors such as latency arbitrage, news trading, and toxic flow to safeguard platform profitability.
• Collaborate closely with technical teams to optimize risk plugins and develop advanced risk management systems.
Requirements
• Bachelor’s degree or higher in Finance, Mathematics, Computer Science, or a related field.
• Minimum of 3 to 8 years of experience in risk management or a dealing desk within a trading platform environment.
• Deep understanding of internalization versus external hedging, LP execution, and market microstructure.
• Proven ability to configure and optimize risk management parameters on leading industry trading platforms.
• Strong analytical skills with the capability to identify and manage toxic flow and high-frequency trading anomalies.