Senior Manager - Financial Risk
UK, Brazil, Canada, Cyprus, Ireland, PortugalFull-TimeManager
Salary not disclosed
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Job Details
- Experience
- 7+ years
- Required Skills
- PythonData Analysis
Requirements
- 7+ years of experience in financial risk, treasury risk, credit risk, or product risk.
- Experience at a major bank, trading firm, asset manager, fintech, or crypto company.
- Strong understanding of financial markets, liquidity risk, and counterparty risk.
- Interest in crypto market structure, stablecoins, and DeFi ecosystems.
- Ability to build risk frameworks in fast-moving environments.
- Strong analytical and quantitative problem-solving skills.
- Familiarity with on-chain analytics or blockchain data (nice to have).
- Python or data analysis experience (nice to have).
Responsibilities
- Design and evolve financial risk frameworks covering counterparty risk, treasury risk, payment rails, and crypto market structure.
- Define exposure methodologies and risk limits for exchanges, custodians, banks, liquidity providers, and DeFi protocols.
- Partner with product and engineering teams to evaluate and shape new products before launch.
- Identify financial risks across margin, derivatives, staking, DeFi integrations, lending, and payments.
- Build scenario frameworks to model extreme crypto market conditions including stablecoin depegs and liquidity crises.
- Develop exposure limits and monitoring frameworks to prevent concentration risks.
- Partner with Treasury to assess risks related to firm investments and liquidity management.
- Collaborate with data and engineering teams to build scalable risk analytics infrastructure.
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