Risk Management Professional
We are seeking a seasoned Risk Management Professional to join our organization. The ideal candidate will have extensive experience in financial or prudential risk management, preferably within financial institutions, fintechs, or crypto/virtual asset firms.
The selected individual will be responsible for implementing and maintaining a comprehensive risk management framework, covering credit, market, liquidity, operational, and technology risks. Key responsibilities include:
1. Conducting prudential and capital risk assessments, including stress testing, scenario analysis, and capital adequacy evaluations.
2. Preparing and supporting regulatory disclosures required for virtual asset service providers (VASPs) and financial institutions.
3. Overseeing 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.
The role requires strong knowledge of Central Bank regulations, capital adequacy standards, and VASP disclosure requirements, as well as expertise in market and liquidity risk frameworks, stress testing, and margin-account operations involving virtual assets.
The successful candidate will have a deep understanding of the evolving digital asset landscape and the ability to stay ahead of emerging trends and risks. They will also possess excellent communication and collaboration skills, with the ability to work effectively across multiple teams and departments.
In return, our organization offers a dynamic and supportive work environment, opportunities for professional growth and development, and a competitive compensation package.