Governance & global operations

An internationally trusted financial leader

Our global presence underscores our commitment to secure, high-quality financial services. With 13 offices across Europe, Asia, the Middle East, Latin America, and Africa—and headquarters in Cyprus—we combine global insights with local expertise. This allows us to navigate financial trends and regulations while addressing regional economic and cultural nuances, ensuring seamless client access to capital markets.

2,000+

Employees

90+

Nationalities

5

Continents

13

Offices

Explore our global presence

See where we work and how we’re shaping financial markets worldwide

Our global footprint demands unwavering adherence to the highest compliance and governance standards. Operating across diverse regions under the oversight of leading regulatory authorities, we ensure our practices meet and exceed international benchmarks, reflecting our commitment to transparency, integrity, and trust wherever we operate.

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Compliance and regulation

Setting a global standard for secure financial services

We are licensed by top regulatory authorities, such as the FCA (UK), CySEC (Cyprus), and FSA (Seychelles), ensuring compliance and secure financial services. These licenses uphold transparency, safety, and client protection, enabling confident operations under trusted governance in various regions across the globe.

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British Virgin Islands

Financial Services Commission (FSC)

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Curacao

Central Bank of Curaçao and Sint Maarten (CBCS)

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Cyprus

Cyprus Securities and Exchange Commission (CySEC)

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Jordan

Jordan Securities Commission (JSC)

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Kenya

Capital Markets Authority (CMA)

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Mauritius

Financial Services Commission (FSC)

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Seychelles

Financial Services Authority (FSA)

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South Africa

Financial Sector Conduct Authority (FSCA)

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United Kingdom

Financial Conduct Authority (FCA)

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British Virgin Islands

Financial Services Commission (FSC)

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Curacao

Central Bank of Curaçao and Sint Maarten (CBCS)

Tail icon.png

Cyprus

Cyprus Securities and Exchange Commission (CySEC)

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Jordan

Jordan Securities Commission (JSC)

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Kenya

Capital Markets Authority (CMA)

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Mauritius

Financial Services Commission (FSC)

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Seychelles

Financial Services Authority (FSA)

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South Africa

Financial Sector Conduct Authority (FSCA)

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United Kingdom

Financial Conduct Authority (FCA)

Risk management

Driving stability across regions

At Exness, robust risk management underpins our global operations, reflecting our unwavering commitment to protecting stakeholder interests across diverse markets. Our comprehensive framework includes rigorous risk assessments and continuous monitoring of financial and operational exposures. By aligning with best practices and financial statements being audited by Deloitte Ltd, we ensure transparency, foster trust, and maintain stability for clients and partners worldwide.

Security, our top priority

Fortifying security with advanced protections

Security is paramount in our operations worldwide. We utilize advanced measures like encryption, real-time monitoring, and PCI DSS compliance to protect client data and transactions. Our Zero Trust model, Bug Bounty program, WAF, and DDoS protections further enhance resilience, reinforcing our reputation as a trusted financial institution committed to global standards.

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Shape your future with Exness

Start your journey toward a fulfilling career with us, where growth, innovation, and a supportive culture fuel every day. Join a global team dedicated to doing more, being more, and growing together—explore our career opportunities today.

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