Specialist, Financial Risk

Added
13 days ago
Type
Full time
Salary
Salary not provided

Related skills

sql python tradfi

πŸ“‹ Description

  • Serve as risk owner for TradFi assets: Real Stocks, ETFs, and Commodities.
  • Develop and optimize FRM models to set risk limits and monitor exposure.
  • Analyze cross-asset risks and liquidity drag between TradFi settlements and crypto.
  • Advise product owners on risk, providing quantitative input for exec decisions.
  • Be the main contact for ops and trading desk; align risk with product delivery.

🎯 Requirements

  • Background in traditional markets (Stocks/ETFs/Commodities) and market risk dynamics.
  • Advanced Python for risk models; SQL for data manipulation.
  • Experience in risk management within brokerage, investment bank, or fintech.
  • Direct experience building/managing risk frameworks for Margin Trading or leveraged products.
  • Autonomous, fast-paced worker with end-to-end ownership of complex quantitative tasks.

🎁 Benefits

  • Hybrid work model with onsite/remote plus 25 days/year to work from anywhere.
  • OpenUP mental wellbeing coaching and resources.
  • 3 extra days off in 2026 to recharge.
  • Udemy access for continuous learning.
  • 8 weeks of gender-neutral new parent leave.
  • Home office budget for a productive setup.
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