Risk Hedging Manager / Director (Mandarin Speaking)
Hyphenconnect
Posted: April 29, 2026
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Quick Summary
The Risk Hedging Manager/Director will develop and execute A-Book/B-Book strategies, manage liquidity provider relationships and optimize hedging costs, while design and enhance automated hedging models and detect and mitigate abnormal trading behaviors.
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.