Member of Global Risk Management, Financial Risk

You will protect the firm and clients from market, credit, liquidity, and operational risks by performing real-time risk monitoring and reporting. You will build and maintain quantitative models and analytics to measure market, counterparty, and liquidity risk and operate real-time dashboards. You will lead crisis response during market dislocations, make time-sensitive risk mitigating decisions, and escalate when situations exceed established thresholds. You will collaborate closely with Trading, Sales, Compliance, and Operations and deliver daily risk updates and clear actionable risk assessments to stakeholders.

Responsibilities

  • Lead real-time risk monitoring and reporting
  • Develop and maintain quantitative risk models and analytics
  • Manage crisis response protocols and make rapid risk mitigating decisions
  • Monitor market risk counterparty risk liquidity risk and operational risk
  • Build and refine risk monitoring frameworks dashboards and reporting infrastructure
  • Deliver daily risk updates to stakeholders
  • Collaborate with Trading Sales Compliance and Operations to embed risk considerations
  • Escalate issues appropriately when thresholds are exceeded

Requirements

  • 5+ years of experience in financial risk management market risk or related quantitative risk role
  • Deep expertise in risk monitoring and reporting including real-time dashboards and executive reporting
  • Experience navigating market dislocations or crisis events and taking decisive risk actions
  • Strong understanding of crypto market dynamics including exchange risk counterparty risk and liquidity risk
  • Independent and self-directed work style with ability to operate across time zones
  • Proficiency in risk modeling tools and data analysis such as Python and SQL

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