Key Responsibilities:
* Develop, implement and maintain an enterprise risk management framework covering various types of risks across the organization.
* Conduct prudential and capital risk assessments through stress testing, scenario analysis, capital adequacy evaluations and regulatory reviews.
The ideal candidate will have senior-level experience in financial or prudential risk management with a strong command of Central Bank regulations and market risk frameworks.
Requirements:
* Must be legally residing in Brazil.
* Minimum 7 years of experience in senior risk management positions preferably within banks, fintechs or virtual asset firms.
* Demonstrated independence from commercial functions with the ability to operate as a second-line or independent control function.
* Strong knowledge of risk regulations, prudential rules and capital adequacy requirements.
* Expertise in market and liquidity risk frameworks, stress testing and margin-account governance involving virtual assets.
* Bachelor's degree in Finance, Economics, Risk Management or related field; postgraduate qualifications are strongly preferred.