
- Link: Senior Trader from Trading 212
- Dates: All year 2025
- Job location: London, UK.
- Job description: Lead and manage market risk exposures in adherence to the firm’s risk policy, ensuring the highest standards of risk management. Oversee and optimize internal and external order executions to ensure smooth and efficient trade flows. Conduct comprehensive reviews and analyses of trading activity across all applicable asset classes, including stocks, ETFs, futures, and forex. Ensure the accuracy of product pricing and overall system performance. Identify and implement optimizations to system parameters to enhance execution quality and trading efficiency. Develop and produce effective KPIs to review and improve trading data and strategies. Collaborate with internal stakeholders to develop and implement ideas for trading/risk tools and products to strengthen the firm’s offering, enhance controls, and drive efficiency. Lead ongoing best execution monitoring and produce detailed monthly management reports to present to internal committees. Stay abreast of market trends, regulatory changes, and technological advancements to maintain and enhance the firm’s competitive edge. Mentor and provide guidance to the junior members of the team, promoting a high-performing culture.
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Alon Braginsky
September 29, 2025I am a highly experienced trader and amanger with close to 25 years experience in the financial markets.
As my career evolved, risk management has been a significant part of my day to day work as I was in charge of numerous trading systems.
I have been producing exceptional returns over the years with a very rigorous risk management.
I have been inside and through many major financial turbulances, including the great financial crisis of 2008, the EU dect crisis of 2012, the covid outbreak of 2020 and many more, so I truly understand risk
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