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Securities Representative

Belize, Belize

Your role at Exness:

Be responsible for overseeing the trading operations of the Company, including trading strategy, pricing, execution, market analysis, platform management, risk assessment and similar.

You will:

  • Implement the trading procedures to establish a safe and transparent environment for trading and the conclusion of transactions.
  • Participate in the development of the Company’s trading strategy which shall be aligned with the long term direction and goals of the Company.
  • Participate in the decision making process on which markets and financial instruments shall be offered by the Company.
  • Perform market reviews and research and prepare reports.
  • Prepare/export trading reports and other statements required by the Board and management.
  • Monitor and ensure the uninterrupted operation of the trading platforms.
  • Update the trading platforms in accordance with the settings and limits as established by the Board, as applicable.
  • Review positions and orders and verify execution as per execution policy.
  • Monitor client activity and take actions on suspicious activities.
  • Assist in the resolution of trading complaints.
  • Evaluate trading exposure, manage relevant risks and hedge orders, if necessary as per mandates by the Board.
  • Establish relationships with liquidity providers, price feeders and execution venues, as applicable.
  • Identify and report any market-abuse situations.
  • Assist in the preparation of notifications to clients regarding trading operations.
  • Perform any other trading related task assigned by the Board from time to time.

What makes you a great fit:

  • 1 or more years of experience within the financial services industry working in a similar role will be considered as an advantage;
  • Have a qualification in disciplines associated with financial and commercial matters obtained from a tertiary educational institution recognized and accepted by the Regulator;
  • Have one of the examinations or certifications recognized by the Regulator or provide alternative evidence of skill and knowledge acceptable to the Regulator:
    1. Series 7 – General Securities Representatives Examination;
    2. Registered Representatives Examination;
    3. Canadian Securities Course (CSC);
    4. Certified Financial Planner (CFP);
    5. Chartered Financial Analyst (Level 1);
    6. Certificate in Investment Management;
    7. Investment Management Certificate;
    8. Licensing Examination for Securities and Future Intermediaries; 
    9. Certificate in Securities; 
    10. Certificate in Derivatives,
    11. Certificate in Asset Management;
  • Excellent communication (verbal and non verbal), business acumen, organizational, presentation and problem-solving skills;
  • Fluent in English language (verbal & written), any additional language may be considered a plus;
  • Able to work effectively under pressure and meet tight deadlines;
  • Able to work on own initiative, independently, prioritize workload and pay attention to details.

 

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