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Junior Risk Analyst - Dealing Desk

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TMGM

TMGM (Trademax Global Limited / Trademax Australia Limited) is an online CFD and forex broker offering trading in Forex, Precious Metals, Cryptocurrencies, Oil, Shares and Indices. It serves retail investors globally, providing platforms like MetaTrader 4/5 and its own TMGM app, with competitive spreads, high leverage, and various account types including cent accounts.

Sydney, AU
About TMGM

TMGM is a global online trading broker operating under Trademax Australia Limited (regulated by ASIC, AFSL no. 436416, based in Sydney, NSW, Australia) and Trademax Global Limited. The company offers CFD trading across six asset classes—Forex, Precious Metals, Cryptocurrencies, Oil, Shares, and Indices—via industry-standard platforms such as MetaTrader 4 and MetaTrader 5, as well as its own TMGM mobile app. It serves retail traders and investors in over 150 countries (excluding the US, Malaysia and Thailand), offering features like tight spreads from 0.0 pips, leverage up to 1:1000, minimum deposits as low as $15-$100, fast execution, segregated client funds, and multiple funding options with no fees. TMGM also provides educational resources including a trading academy, webinars, market news and analysis, and runs promotions such as trading competitions, referral bonuses, and cashback programs. The company has sponsorship partnerships with Chelsea FC and the Brooklyn Nets, and has received numerous industry awards for broker services, trading platforms, and customer support across the Asia-Pacific region.

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Skills

About the Role

You will work closely with experienced risk analysts to monitor market movements, stay up to date with economic events, assist with exposure management, and contribute to the development of analytical tools and reporting processes that support the risk management function. You'll bring your curiosity and technical mindset to a fast-paced trading environment, applying both market knowledge and analytical skills to real-time decisions that directly impact the firm's P&L.

Requirements

  • Bachelor's degree in Finance, Mathematics, Economics, Statistics, Computer Science, Information Technology, or a related discipline
  • At least 1 year of relevant work experience in financial services, FX/CFD industry preferred
  • Strong interest in financial markets and market structure
  • Solid numerical, analytical, and problem-solving skills
  • Comfortable working with data and large datasets
  • Good communication and interpersonal skills
  • Experience with Python, SQL, or other scripting/programming languages is highly desirable
  • Bilingual in English and Mandarin is required

Responsibilities

  • Support the monitoring and management of the firm's market exposure and margin account in Liquidity Provider across FX and other CFD asset classes during your session
  • Monitor market movements, economic releases, and news events that may impact the firm's risk profile and trading operations
  • Support operational risk monitoring and assist with investigations into trading and execution-related incidents when required
  • Assist with data analysis and automation initiatives aimed at enhancing risk monitoring and reporting capabilities

Benefits

  • Exposure to real-time market risk management within a live CFD environment
  • The opportunity to apply technical and analytical skills directly to business outcomes
  • Hands-on experience with market exposure management, market and trading analytics
  • Mentorship from experienced dealers and risk professionals