Our client is one of the biggest crypto exchange platform in the world.
They are currently looking for a trading risk control office and the role is remote working.
Key Responsibilities Develop and enforce risk control parameters for diverse trading strategies, covering fiat crypto, and forex trading.
Manage risk exposure and prevent trading fund losses by monitoring trading activities and implementing necessary risk control measures.
Create and maintain risk control management SOPs to standardize risk mitigation processes.
Collaborate with cross-BU teams (Trading, Treasury, Compliance, Finance, Product, etc.) to ensure effective risk reduction.
Analyze trading-related risk exposure: identify, assess, and report potential risks to minimize financial losses.
Monitor liquidity indicators to ensure favorable trading market conditions and alert on liquidity risks or anomalies.
Deliver timely risk reports and improvement recommendations to management.
Support audits, compliance checks, and regulatory reviews related to risk management.
Contribute to building a solid international risk control framework across multiple jurisdictions.
Qualifications & Skills Bachelor's or Master's degree in Mathematics, Statistics, Finance, Economics, or other quantitative-related fields.2–3 years of hands-on risk management experience in top crypto exchanges, financial institutions, or banking systems.
Proven track record of effective risk control in previous roles.
Strong expertise in risk modeling and control systems.
Ability to design SOPs and respond to real-time risk alerts promptly.
High pressure tolerance and capability to manage multiple priorities simultaneously.