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Binance is seeking a senior Risk Manager to support the Head of Risk for the AD and RIE entities. Based in Abu Dhabi, you will lead policy development, regulatory submissions and the risk analytics program across RIE and RCH, including stress testing, margin and collateral risk, and model governance.
You will oversee the risk data infrastructure, drive governance for key risk indicators, and partner with finance, risk systems and business teams to ensure robust risk management for this
Risk Manager - AD representative, RCH and RIE (Abu Dhabi Based) UAE, Abu Dhabi / UAE, Dubai Legal & Compliance - Compliance / Hybrid apply for this job Binance is a leading global blockchain ecosystem behind the world s largest cryptocurrency exchange by trading volume and registered users. We are trusted by 300+ million people in 100+ countries for our industry-leading security, user fund transparency, trading engine speed, deep liquidity, and an unmatched portfolio of digital-asset products. Binance offerings range from trading and finance to education, research, payments, institutional services, Web3 features, and more. We leverage the power of digital assets and blockchain to build an inclusive financial ecosystem to advance the freedom of money and improve financial access for people around the world.
Role Overview The Risk Manager is the senior hands-on risk practitioner supporting the Head of Risk for the RCH and the RIE. The role carries the analytical and operational weight of the risk function for both entities: building and running the methodologies behind credit, market, liquidity, counterparty, operational and technology risk, and converting them into the frameworks, models, and reports the Head of Risk presents to governance and regulators. This is the senior hire in the build-out of a dedicated risk capability for the ADGM entities, reflecting the firm s regulatory commitments on risk substance: FSRA engagement has made dedicated senior risk capacity an explicit supervisory expectation. The Risk Manager is the person who turns that expectation into working control. The role is personally accountable to the Head of Risk.
10+ years in risk management within regulated financial institutions: investment banking, clearing house, exchange, prime brokerage, collateralised lending, or equivalent market-infrastructure environments. Strong quantitative skills with hands‑on methodology experience: stress testing design, VaR or tail‑risk measures, collateral haircut frameworks, market impact or liquidation analysis. Able to build the model, not only run the report. Experience with risk data engineering realities: exposure aggregation, reconciliation between risk and business systems, and data quality remediation. Clear, structured written and verbal communication and