Job Description
📋 Description Build and own the financial risk framework. Own the margin program, including policies and KRIs. Protect liquidity, capital, and market access through risk controls. Own counterparty, credit, and market risk management. Build the framework for digital assets and tokenization. Lead analytics and the risk team to scale the program. 🎯 Requirements 10+ years in financial risk management in regulated environments. Experience across market, credit, liquidity, and counterparty risk. Proven margin policy design, stress testing, and scenario design. Knowledge of clearing and settlement mechanics (NSCC, DTCC). Fluency with agentic AI in risk work and automation. Strong Python or SQL skills; experience with BI/data viz tools. 🎁 Benefits Competitive base, bonus, equity, 401(k) match. Comprehensive benefits: medical, dental, vision, disability, parental leave. Wellness reimbursement and company phone; personal development allowance. Generous PTO and observed holidays.