Operational Risk Manager at Imc
Job Description
📋 Description
- Primary contact for operational risk; incident management; policy and post-mortems.
- IMC's automated trading ecosystem across APAC to mitigate risks.
- Own automated pre- and post-trade risk checks; monitor and report.
- Analyze incidents; identify trends; drive improvements to prevent recurrence.
- Develop local risk frameworks aligned with global policies.
- Review new trading strategies before deployment; ensure controls present.
- Maintain and update the operational risk policy framework.
- Build dashboards and reporting to improve risk visibility.
🎯 Requirements
- Bachelor's or Master's degree in Finance, Engineering, CS, or Mathematics.
- About 5 years in operational or market risk; prop trading, hedge funds, or market makers.
- Experience with automated trading systems and hardware/software risk.
- Familiar with APAC trading landscape (Korea, HK, Japan, China).
- Python and SQL; build monitoring tools; automate reporting; comfortable with AI tools.
- Strong written and verbal communication.
- Thrives in fast-paced trading; prioritizes and acts decisively.
- Self-starter; drives projects end-to-end.
