.Location : Remote, with potential relocation opportunities Company Overview :We are a leading CFD liquidity provider, serving multiple brokers globally. The business is expanding its operations by establishing a new trading division, and the Head of Trading will play a critical role in shaping this division. This role encompasses leadership in trading, managing liquidity and risk, and ensuring compliant execution across a variety of asset classes including futures, forex, commodities, indices, and equities. Position Overview :We are seeking a highly experienced Head of Trading to lead all aspects of the trading desk, with responsibility for overseeing warehoused and externalised trading flow, engaging with liquidity providers, and driving improvements in trading performance, profitability, and client satisfaction. The role will also focus on optimising hedging automation, implementation of risk management processes and frameworks and improving profitability of trading flow. Key Responsibilities : Leadership: Develop and implement strategies to optimise trading performance and ensure client satisfaction. Help shape the newly formed trading division, focusing on robust governance, reporting, and profitability. Trading Operations: Oversee the execution of trades across various asset classes (including forex, indices, equities, and commodities), ensuring smooth, compliant, and efficient execution at competitive prices. Manage flow and hedging strategies to ensure timely and accurate execution. Build and maintain strong relationships with liquidity providers and prime brokers to secure optimal trading conditions. Investigate and resolve escalated trade queries promptly, ensuring alignment with risk management and profitability goals. Implement advanced technology integrations to support automation and improved operational efficiency in trading processes. Manage Swaps, Rollovers, corporate actions, trading breaks and other events. Liquidity & Risk Management: Manage warehoused and externalised trading flow, optimising how incoming flow is monetised and reducing risk exposure. Develop and oversee robust risk management systems to ensure compliance with company policies and market regulations. Monitor market movements and client exposures, ensuring the effective use of hedging strategies and minimising financial risks to the business. Extracting Alpha from client flow while mitigating risk. Performing markout analysis and identifying client trading behaviour that is detrimental to performance. Support Treasury function with optimising capital deployment. Collaborate with the compliance and risk departments to ensure all operational risks are managed effectively and that the business remains compliant with applicable regulation. Interpretation of bridge and trading statements to support evaluation of prospective client flow. Creation of bespoke and competitive pricing models for liquidity clients and ensure they align with business goals