Senior FX Dealer – Risk Management & Dealing Desk Forex & CFD Brokerage*
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About the Role
HYCM Capital Markets (HYCM) Group is a globally recognized provider of online Forex and CFD trading services to both retail and institutional investors. With over 40 years of collective expertise, HYCM is renowned for its client-centric approach and continuous technical innovation.
Key Skills for This Role
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Company Description
HYCM Capital Markets (HYCM) Group is a globally recognized provider of online Forex and CFD trading services to both retail and institutional investors.
With over 40 years of collective expertise, HYCM is renowned for its client-centric approach and continuous technical innovation.
Headquartered in London, the Group comprises multiple regulated entities, including HYCM Capital Markets (UK) Limited, authorized by the FCA.
HYCM ensures strict compliance with financial standards, including capital adequacy requirements, independent audits, and secure segregation of client funds.
The organization is committed to delivering premium trading solutions tailored to its clients' diverse needs globally.
Role Description
We are hiring an experienced and performance-driven Senior FX Dealer to join our high-performance Forex & CFD brokerage environment.
The role focuses on real-time risk management, trade execution, liquidity handling, exposure control, and dealing desk profitability across Forex, Metals, Indices, and Crypto products.
The ideal candidate must have strong expertise in A-Book / B-Book execution models, liquidity management, client flow analysis, and risk mitigation within a regulated brokerage environment.
Dealing & Execution
Monitor real-time client order flow across MT4/MT5 and API environments
Manage A-Book, B-Book, and hybrid execution models
Optimize execution quality, slippage control, fill ratios, and rejection management
Risk Management & Exposure Control
Monitor net open positions and symbol-level exposure across all asset classes
Control client concentration and directional risk
Implement hedging strategies including full hedge, partial hedge, and exposure balancing
Maintain margin risk controls and stop-out protection levels
Manage risk during major market volatility events including NFP, CPI, and geopolitical news
A-Book And B-Book Optimization
Analyse client profitability and trading behaviour
Identify toxic flow, scalping, latency arbitrage, and HFT activities
Optimize client routing between internalization and external liquidity providers
Improve dealing desk profitability while minimizing exposure risk
Liquidity & Pricing Management
Manage liquidity provider relationships and execution quality
Monitor spread competitiveness, pricing stability, and market depth
Optimize pricing markups and liquidity allocation strategies
Trade Surveillance & Compliance
Conduct trade surveillance and forensic trade analysis
Detect bonus abuse, toxic flow, cross-platform hedging, and suspicious trading activities
Coordinate with Compliance and Legal teams when required
Reporting & Infrastructure
Monitor daily P&L and company exposure
Prepare dealing desk performance and exposure reports for management
stable execution infrastructure
Requirements
3–5 years of experience within a Forex / CFD brokerage dealing desk
Strong knowledge of FX & CFD markets
Hands-on experience with MT4/MT5 Manager & Admin
Strong understanding of A-Book / B-Book execution models
Strong analytical, risk management, and decision-making skills
Ability to work under pressure in fast-moving market conditions
Experience handling institutional or high-volume retail flow is highly preferred
What We Offer
Competitive salary package
Performance-driven working environment
Career growth opportunities within a rapidly expanding brokerage
Exposure to institutional-grade trading infrastructure and global liquidity networks
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