Member of Global Risk Management, Financial Risk

Listing location: Singapore Department: Finance – Risk Employment type: Full-Time - Remote Workplace type: Remote Structured job location: Singapore Structured employment type: Full-Time - RemoteFull-TimeSenior
Salary not disclosed
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Job Details

Experience
5+ years of experience
Required Skills
PythonSQLData Analysis

Requirements

  • 5+ years of experience in financial risk management, market risk, or a related quantitative risk role, ideally with exposure to digital assets or crypto markets.
  • Deep expertise in risk monitoring and reporting, including experience building or operating real-time risk dashboards and producing executive-level risk reports.
  • Experience navigating market dislocations or crisis events, with demonstrated ability to take decisive risk mitigating actions under pressure.
  • Strong understanding of crypto market dynamics, including exchange risk, counterparty risk, liquidity risk, and the unique characteristics of digital asset markets.
  • Independent and self-directed work style, with the ability to operate autonomously across time zones while maintaining communication.
  • Proficiency in risk modeling tools and data analysis (Python, SQL, or similar).

Responsibilities

  • Drive the development and refinement of risk monitoring frameworks, dashboards, and reporting infrastructure for financial risk.
  • Build and maintain quantitative models and analytics to measure market risk, counterparty risk, and liquidity risk across digital asset portfolios.
  • Apply expertise in crypto market microstructure to identify emerging risk signals before they materialize into losses.
  • Lead the real-time monitoring of risk exposures across trading and financing with minimal oversight.
  • Manage crisis response protocols during systemic risk events, making rapid decisions on risk mitigating actions within established risk appetite.
  • Break down complex risk scenarios into actionable intelligence for trading, sales, and senior leadership.
  • Collaborate closely with Trading, Sales, Compliance, and Operations to ensure risk considerations are embedded in business decisions.
  • Deliver daily risk updates to the Financial Risk team and key stakeholders, ensuring transparency and alignment.
  • Contribute to the evolution of Anchorage's risk management culture by sharing insights across teams to ensure broad understanding and adoption
  • Listen actively to trading and sales requests, applying judgment to balance business needs with risk appetite.
  • Contribute clear, actionable risk assessments during high-pressure situations, ensuring stakeholders understand implications and recommended actions.
  • Escalate appropriately when situations exceed established thresholds.
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