Job description: Risk Management Analyst will be responsible for developing and delivering the B2B customer strategy to achieve aggressive revenue growth. You will have a game-changing attitude and a desire to make a positive impact on the organization, through developing a strong understanding of corporate customers and building a world-class risk management team. You are highly analytical, but also an out-of-box thinker, excited about being partner with our customers and your team, gaining a deep understanding of their motivations, intentions and behaviors allowing us to deliver an unparalleled end-to-end customer experience. What you will do: Provide support to the Risk management team, developing and implementing a rigorous set of standards and help team members in maintaining and growing book revenue. Work closely with Sales team to optimize the handover of new clients from sales, ensuring the best customer trading experience, quickest revenue ramp, and maximum capture of wallet share. Establish and grow new revenue streams within the Risk Management Team, including order flow pattern analysis, direct order flows via difference execution channels to maximize revenue; constantly review our current product offering and maintain strong competitive in the market. Ensure high standards in the Risk Management Team and always maintained, including adherence to all company policies and procedures, and compliance with internal and external requirements. Collaborate with Compliance and Operations to ensure an optimized customer experience and improved efficiency and output in the Risk Management team. Regular desk performance reporting to Senior Management Team, and input into regular forecasting, and target setting across the team. Additional Responsibilities: Collaborating with Sales Teams, managing timelines and resources. Evaluating customer needs, assisting Sales Team to design commercial, providing technical support, sourcing liquidity and negotiating with counterparties to bring down the cost. Who you are: Bachelor's or master's degree in Finance, Economic, Business, or a related field. (1-2 years) experience in foreign exchange and risk management products across the bank or non-bank sectors. Proven track record of successful trading strategies and risk management in the forex market. Solid knowledge of global financial markets, FX and precious metals, derivates products and related regulatory frameworks. Analytical mindset and a data-driven approach to decision-making. Strong communication and negotiation skills. Ability to work effectively in a fast-paced, dynamic environment, making well-informed decisions under pressure. Job Types: Full-time, Permanent Schedule: Day shift Monday to Friday Night shift Education: Bachelor's (required) Experience: Risk analysis: 1-2 years (required) foreign exchange and risk management products: 1-2 years (preferred) CFDs industry: 1-2 years (preferred) Work authorisation: United Kingdom (preferred)