Our Risk Management Philosophy
We are built on a culture of proactive risk management to create a faster, fairer, and more humane trading environment for our users.
Our core values define us: listen, care, and improve. This drives our commitment to delivering innovative online spot and derivatives trading services to retail and institutional clients around the world.
Key Responsibilities:
* Develop and maintain comprehensive risk management frameworks to mitigate exposure.
* Conduct regular prudential and capital risk assessments to identify potential areas of concern.
* Prepare regulatory disclosures as required by financial institutions and VASPs.
* Oversee margin-account operations, including policy development, LTV ratios, and counterparty exposures.
* Monitor and review risk indicators across business functions to ensure alignment with our risk management philosophy.
* Maintain independence from commercial and trading lines while collaborating with Compliance, Finance, and Operations teams.