Related skills
risk management r python matlab digital assetsπ Description
- Identify and manage market, credit, and operational risks in digital assets.
- Maintain and develop risk monitoring tools to measure exposures.
- Design, test, and implement controls to strengthen the risk framework.
- Develop policies to manage digital asset risks; analyze markets and refine risk methodologies.
- Perform risk control self-assessments and analyze risk impact.
- Collaborate daily with Trading, Finance, and Compliance.
π― Requirements
- 3-7 years in financial risk management with digital asset exposure.
- Understanding of digital asset market structure (custodians, exchanges, DeFi).
- Experience with Python, MATLAB, or R.
- Ability to communicate complex topics to business stakeholders.
- Strong organizational, problem-solving, and time-management skills.
- Self-starter who works independently and in a team; quantitative degree.
π Benefits
- Zug, Switzerland office.
- Dynamic, fast-paced environment with challenges.
- Real responsibility from day one.
- Flat structure and open, collaborative culture.
- On-site role with limited remote options.
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