Risk Management Expert
About Us
We are a leading cryptocurrency derivatives exchange, offering a professional platform for crypto traders to find an ultra-fast matching engine and excellent customer service. Our innovative online spot and derivatives trading services, mining and staking products, as well as API support, cater to retail and institutional clients worldwide.
Our core values define us: we listen, care, and improve to create a faster, fairer, and more humane trading environment for our users. We strive to be the most reliable exchange for the emerging digital asset class.
Main Responsibilities:
Implement and maintain a comprehensive risk management framework, covering credit, market, liquidity, operational, and technology risks.
Conduct prudential and capital risk assessments, including stress testing, scenario analysis, and capital adequacy evaluations.
Prepare and support regulatory disclosures required for virtual asset service providers (VASPs) and financial institutions.
Oversee Margin-Account Operations, including:
Development of policies governing margin lending and virtual asset collateral;
Setting and reviewing maximum loan-to-value (LTV) ratios and haircut levels;
Monitoring collateral valuation, capital add-ons, and counterparty exposures;
Ensuring compliance with client/institution limits and capital requirements;
Net-worth monitoring.
Review and monitor risk indicators across business functions, escalating material breaches or deviations to senior management and the Board.
Maintain independence from commercial and trading lines while ensuring collaboration with Compliance, Finance, and Operations.
Liaise with internal and external auditors, regulators, and governance committees on risk management and capital matters.
Support a risk-aware culture through training, communication, and continuous improvement of risk methodologies.
Requirements:
Senior-level experience (minimum 7 years) in financial or prudential risk management, preferably within financial institutions, fintechs, or crypto/virtual asset firms.
Demonstrated independence from commercial functions and ability to operate as a second-line or independent control function.
Strong knowledge of Central Bank regulations, capital adequacy standards, and VASP disclosure requirements.
Expertise in market and liquidity risk frameworks, stress testing, and margin-account operations involving virtual assets.
Bachelor's degree in Finance, Economics, Risk Management, or related field; postgraduate qualification preferred.
Strong quantitative, analytical, and communication skills; fluency in English.
Must meet fit and proper standards with no disqualifying factors, including:
unblemished reputation;
knowledge of the line of business, the services to be provided and the crypto segment, as well as crypto market dynamics and the risks associated with those activities;
technical capability, compatible with the functions to be exercised.