Risk Management Specialist (Mandarin Speaker)
Job Responsibilities :
Proactively track global financial markets, including forex, global stock indices, and commodities, while staying updated on critical developments and news.
Investigate real-time alerts, analyze their implications, and ensure adherence to established risk management policies.
Assist in maintaining optimal platform performance by troubleshooting technical issues, configuring MT4/MT5 platforms, and addressing trade-related queries.
Generate comprehensive daily, weekly, and monthly reports on trading activities, market trends, and risk analysis, offering actionable insights to senior management.
Undertake additional responsibilities as assigned, showcasing flexibility and alignment with evolving organizational priorities.
About our project Our client/project is a leading international financial services provider specializing in trading, investment, and wealth management. Renowned for its innovative technology and client-focused solutions, the firm offers seamless access to global markets and empowers clients to achieve financial success.With a commitment to transparency, sustainability, and excellence, Our client fosters trust and long-term partnerships. By blending advanced platforms with expert insights, IT sets industry benchmarks in service quality and financial performance on a global scale. About EYZ Global EYZ Global is a leading provider of end-to-end Business Process Outsourcing (BPO) solutions, specializing in connecting top-tier talent with some of the world’s most prestigious companies. Our comprehensive services span multiple industries, offering tailored recruitment, customer support, and operational management solutions. We are committed to empowering our clients by building robust public relations strategies that enhance brand reputation, drive engagement,and expand market reach. At EYZ Global, we pride ourselves on delivering innovative, customized solutions that align with our clients' unique needs, helping them achieve sustainable growth and long-term success. Job Requirement : ●Minimum qualification of SPM/STPM/Diploma or Bachelor's degree in Economics, Finance, Accounting, Mathematics, Statistics, or related disciplines. ●Experience: 1-2 years of relevant experience in financial markets or trading operations. ●High attention to detail for accurate market monitoring and reporting. ●Exceptional numerical, analytical, and problem-solving skills. ●Proficiency in Microsoft Office applications, particularly Excel. ●Strong communication and interpersonal abilities, with a collaborative mindset. ●Familiarity with Python and MySQL is highly preferred. ●Flexibility: Willingness to work in shifts to align with varying market hours. ●Industry Knowledge: Understanding of the CFD (Contract for Differences) industry is a significant advantage.
Benefits: ●14 days of annual leave and 14 days of sick leave per year. ●Healthcare: Unlimited visits to doctors with claims of up to RM150 per visit. ●Additional allowance of RM 1,000 per month for night shift work.