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JobsSydneyMarket Risk Manager

Market Risk Manager

IMC Trading
RiskOn-siteFull-timeSydney, Australia

IMC Trading is hiring for the job of Market Risk Manager, Sydney, Australia (On-site). This is a Risk job in the governance, risk, and compliance field. Review the full details below and apply directly with IMC Trading.

Organization: IMC TradingLocation: Sydney, AustraliaWorkplace: On-siteFocus: RiskPosted: Sep 8, 2026
IMC Trading is hiring for this Risk job in Sydney, one of the metros GRC Careers tracks for governance, risk, and compliance hiring.

span span IMC ’s Risk Team works closely with our Trading and Technology teams to manage and mitigate the risks associated with span IMC ’s trading strategies across a wide range of products, exchanges, and technologies. The team is responsible for identifying and assessing risks, determining appropriate controls, and developing metrics and tools to monitor them. It acts as a key stakeholder in ensuring the firm’s business activities remain within its risk appetite, engaging directly with the business to review and challenge risk management actions.

The span span APAC region presents a significant opportunity and span IMC has ambitious plans to grow its presence in the region and expand its trading footprint. As we pursue these opportunities, we are looking to deepen our risk expertise and strengthen our market risk capabilities accordingly. This role offers the opportunity to be part of that journey and to play a central role in building a best-in-class market risk function.

Your Core Responsibilities:

Market Risk Framework: Understand the various positions taken by the firm and roll out market risk limits and policies, ensuring they are consistently applied across all trading activities.

Trading Partnership: Build trusted relationships with trading teams to understand strategies, provide independent challenge on market risks, and work collaboratively to ensure risks remain within the firm’s risk appetite.

Risk Identification: Collaborate on the design and implementation of relevant stress tests and scenario analysis for various Derivatives and Delta1 strategies.

Daily Monitoring: Ensure relevant risk measures, controls, and processes are in place, running daily monitoring and reporting processes to stakeholders accurately and on time.

Reporting: Prepare regular and ad-hoc market risk reports and analysis, providing detailed information and analysis to trading and management.

New Product and Strategy Approval: Support the new product and strategy approval process by identifying risks and constructively challenging different trading ideas.

Build Tools: Build and improve dashboards, reporting, and monitoring tools to strengthen risk visibility and response capabilities.

Regulatory Compliance: Maintain relationships with counterparts at clearing and exchanges to ensure compliance with regulations and capital requirements.

Your Skills and Experience:

Bachelor’s or Master’s Degree in Finance, Mathematics, Statistics, Econometrics, Engineering, or a similar field. Professional certifications (e.g., span span FRM, span span CFA) are an added bonus.

Around 5 years of work experience in a front office risk management role at a proprietary trading firm, hedge fund, or similar.

Strong quantitative and analytical skills, with the ability to interpret large datasets, investigate trading behaviour and develop data-driven risk insights.

Good understanding of options theory, derivatives, and financial products, including the key market risk characteristics and practical application of option structures, pricing and risk concepts.

Demonstrated market risk experience across one or more asset classes, including listed equities, commodities, foreign exchange, and fixed income with the ability to quickly develop expertise in new products. Experience with Asian equity markets is highly regarded.

Proven track record of managing projects that span multiple stakeholders, teams, and locations.

Proficiency in Python programming and knowledge of AI tools is essential.

Excellent troubleshooting and diagnostic skills, with the ability to solve problems creatively and proactively.

Ability to prioritize, act, and perform successfully in a fast-moving and high-pressured environment.

About Us

IMC is a research-driven trading firm where quantitative modeling, machine learning, and engineering shape how modern markets are traded. A stabilizing force in markets since 1989, we provide liquidity across trading venues, delivering the best outcome in value and risk management to investors. Using our own technology and capital, we build proprietary systems and algorithms that operate across global markets. Our researchers, traders, and engineers work as a collective, combining rapid experimentation, advanced infrastructure, and real-time feedback to turn insight into execution and execution into advantage.

Location and market context

This job is based in Sydney on-site. Local candidates benefit from being close to IMC Trading's teams and regional hiring market. Confirm the exact in-office expectation and any relocation support with the employer.

About risk management jobs

Risk jobs own the methodology for identifying, assessing, and escalating enterprise, operational, and technology risk. Second-line teams set risk appetite and challenge the first line. Jobs like this one are typically evaluated against frameworks such as enterprise and operational risk frameworks, NIST AI RMF, and risk-appetite and escalation practices.

How to position yourself for this risk management job

Strong candidates emphasize risk assessment methodology, appetite and escalation, cross-functional partnership, and clear reporting to senior leadership and the board. In your resume and outreach, tie your experience to how IMC Trading would apply enterprise and operational risk frameworks, NIST AI RMF, and risk-appetite and escalation practices, and lead with concrete outcomes rather than duties.

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