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Moomoo SG

Risk Manager

3-5 Years
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Job Description

Moomoo is more than just a global investment and trading platformwe're a fast-growing force in the wealth-tech space, committed to transforming the way people invest. Since our founding in 2018, we've rapidly expanded across Singapore, Australia, Japan, Canada, and Malaysia, now empowering over 26 million users worldwide.

In Singapore, Moomoo Financial Singapore Pte. Ltd. is licensed and regulated by the Monetary Authority of Singapore (Licence No. CMS101000). In 2022, we became the first digital brokerage to earn all five SGX Group memberships across the securities and derivatives marketsa testament to our dedication to excellence and innovation.

But what truly sets us apart is our mission: to democratise investing and make smart, data-driven financial decisions accessible to everyone. We're here to level the playing fieldbringing powerful tools, real-time insights, and intuitive technology to empower investors at every stage of their journey.

Joining Moomoo means being part of a purpose-driven team that's not only reshaping the future of investingbut also making wealth-building inclusive, informed, and inspiring. If you're excited about driving impact at the intersection of finance and technology, there's never been a better time to join us.

Risk Manager

Responsibilities

  • Own, oversee, and escalate key credit, market, and liquidity risk exposures across multiple asset classes, including but not limited to equities, options, futures, bonds, and funds, to senior management on a timely basis
  • Review and assess client credit applications, margin limits, and exposure profiles across cash and derivative products in accordance with the Company's risk appetite and internal risk policies
  • Maintain, enhance, and implement the risk management framework, systems, policies, and operational manuals to support multi-asset trading activities and ensure alignment with MAS guidelines
  • Perform regular reviews of marginable securities and products, taking into account volatility, liquidity, correlation, and concentration risks, and submit recommendations for approval
  • Monitor risk exposures and exercise authority to impose margin calls, trading restrictions, and forced liquidations where required
  • Prepare and present periodic risk monitoring, stress testing, and exception reports to management and relevant risk committees
  • Implement and enforce risk control measures, including margin calls, trading restrictions, and forced liquidation across equities and derivatives products, in accordance with approved policies and procedures
  • Manage margin call follow-ups, account deficits, and recovery actions in collaboration with customer service, dealing and operations teams
  • Execute debt recovery actions and remedial measures to minimise credit losses arising from adverse market movements
  • Support regulatory inspections, internal audits, and risk-related reviews, including responding to MAS queries where applicable
  • Undertake ad-hoc risk management projects and initiatives as assigned by management from time to time

Our Values

  • Integrity
    • Integrity Story: Say No to Super High Leverage
      • We hold fast to our value of integrity and attach great importance to user experience and risk management. Unlike some other brokerages, we don't try to attract users attention by claiming to enable super high-leverage financing for IPO subscriptions, which quickly reaches the limit
  • Efficiency
    • Efficiency Story: Promise Made to a User on New Year's Eve
      • On February 11, 2021, Chinese New Year's Eve, a user wrote a post in the Community at around 8 AM and received Leaf's reply just 8 minutes later. According to the user's suggestion, we issued a letter to shareholders after releasing our annual report
  • Service
    • Service Story: Providing Excellent Services and Undertaking Our Responsibilities
      • After Ant Group's IPO was suspended, we refunded all subscribers subscription fees and margin interest, bearing all the costs ourselves
  • Excellence
    • Excellence Story: Leaf Opens Our App Over 30 Times a Day
      • According to statistics, Leaf opens our app over 30 times a day on average. He repeatedly checks every detail. While normal users might just enter a trading page and stop there, Leaf taps some seemingly boring or repetitive elements on the page. He continually assesses the app's loading speed and visual effects

Please note that only short-listed candidates will be contacted.

Requirements


Requirements

  • Degree in a related discipline
  • Minimum 3 to 5 years of relevant risk management experience within a CMS-licensed broker, securities firm, or financial institution
  • Strong hands-on understanding of risk management for equities, derivatives (options and futures), fixed income products, and collective investment schemes
  • Experience with margin financing, derivatives margining, stress testing, and exposure monitoring
  • Strong analytical, problem-solving, and stakeholder management skills
  • Professional certifications such as FRM, CFA, or equivalent are an advantage

Benefits


Working at Moomoo, you will get

  • Be a part of the world's leading digital brokerage firm where growth and career development opportunities are endless
  • Enjoy a competitive total compensation package that truly values your skills and contributions
  • Comprehensive insurance coverage for employees and dependents to provide you a peace of mind
  • Fun loving and diverse work environment that hosts various team-bonding programs and company events
  • Business casual work attire everyday
  • And Much More!: Discover even more perks and benefits as we take you through the hiring process!

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About Company

Job ID: 138558631

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