Full Time
$2,000 - $5000/month
TBD
May 8, 2026
We are looking for a Senior Risk Manager with experience in trading, prop firms, broker risk, or payout reviews.
This person will be responsible for reviewing trader activity, detecting rule violations, identifying risky behavior, and helping the company make fair payout decisions.
This is NOT a basic support role.
We need someone who understands:
* trading risk,
* drawdown,
* floating losses,
* lot size,
* exposure,
* hedging,
* martingale,
* grid trading,
* copy trading,
* payout abuse,
* prop firm rules.
Main responsibilities:
* Review trading accounts before payouts
* Analyze trades one by one
* Detect rule violations
* Check max daily loss and max total loss
* Check risk per trade
* Check risk per trade idea
* Check open risk and exposure
* Detect martingale, grid, hedging abuse and copy trading
* Prepare clear risk reports
* Recommend approve, reject, warning, or manual review
* Help improve internal risk rules and processes
Requirements:
* Strong trading knowledge
* Experience with prop firms, brokers, trading desks or risk teams
* Understand MT4 / MT5 trading history
* Strong Excel / Google Sheets skills
* Very analytical
* Very detail-oriented
* Good written English
* Fair, strict and objective mindset
Bonus:
* Experience reviewing payouts
* Experience with MetaTrader 5
* Experience in CFDs / Forex / indices / commodities
* Knowledge of prop firm abuse patterns
We are looking for someone long term who can help protect the company while being fair with traders.