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Director of Risk Management

RULEMATCH

Zürich

Vor Ort

CHF 180’000

Vollzeit

Vor 30+ Tagen

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Zusammenfassung

An established industry player in digital asset trading is seeking a Director of Risk Management to oversee all risk types. This role is pivotal in ensuring secure and resilient operations within a fast-growing market. You will collaborate closely with key stakeholders, including the Chief Information Security Officer and the Board of Directors, to drive a risk-aware culture and implement effective risk management frameworks. If you have a passion for risk management and a desire to thrive in a dynamic environment, this opportunity offers a chance to make a significant impact while being part of a venture that aims to compete on a global scale.

Leistungen

Annual salary of CHF 180,000
Stock appreciation rights
Competitive pension plan benefits
Inspiring work environment
City center location in Zurich

Qualifikationen

  • Extensive experience in risk management within securities trading.
  • University degree in finance or related field required.

Aufgaben

  • Identify and assess risks affecting the organization.
  • Lead risk measurement and maintain the risk tolerance framework.

Kenntnisse

Risk Management
Analytical Skills
Problem Solving
Strategic Thinking
Leadership
Compliance Knowledge

Ausbildung

Bachelor's in Finance
Master's in Finance

Tools

Risk Management Frameworks
Financial Market Infrastructure Knowledge

Jobbeschreibung

RULEMATCH is a digital asset trading and clearing venue for banks, securities firms and their institutional clients. By providing capital efficient and ultra-low latency trading, RULEMATCH is helping to increase institutional adoption and enable the next evolution of the crypto and digital asset market.

We are seeking a highly experienced and hands-on Director of Risk Management to lead our risk management function. In this role, you will be responsible for overseeing all types of risk to which the company is exposed. As RULEMATCH is purely a market operator and never a party to a trade, operational risks are of primary importance. However, the Director is also responsible for managing financial and reputational risks and has overall responsibility for the company-wide internal control system.

In this role, you will not only take the company's perspective, but also ensure secure, resilient, and fair operations for our participants.

You will work closely with the Chief Information Security Officer and the Director of Compliance, who are responsible for their respective areas within the common risk management and control framework. You will report to the CEO and the Board of Directors.

Candidates for this position must have extensive experience in risk or control functions in the securities trading or post-trading area, preferably in a financial market infrastructure regulated by FINMA or a regulatory authority in neighboring countries. A passionate risk champion is given the opportunity and authority to thrive in an environment where their contribution is valued as absolutely critical to success.

Tasks

  1. Identify and assess risks that affect the organization
  2. Lead risk measurement in close collaboration with other control functions
  3. Maintain the company’s risk tolerance framework and recommend appropriate risk responses
  4. Monitor and evaluate the effectiveness of risk controls and mitigation strategies
  5. Oversee the implementation of risk control measures across departments
  6. Provide regular risk reporting to management and the Board of Directors
  7. Maintain and continuously improve the organization's risk management framework
  8. Promote a risk-aware culture and educate employees on risk management practices
  9. Ensure compliance with relevant laws, regulations, and industry standards
  10. Direct collaboration with supervisory authorities, auditors, partners and clients on issues of risk and internal control.
Requirements

  • Several years of experience in risk management in the securities trading or post-trading area, some of which preferably in a financial market infrastructure and in a leadership role
  • In-depth knowledge of securities trading or post-trading processes is essential
  • Proven experience in implementing risk management frameworks.
  • University degree in finance, economics, business administration or related field required, Master’s degree preferred (equivalent work experience will be considered)
  • Relevant professional certification such as FRM, PRM, CFA or similar are highly desirable
  • Fluency in English and German, both written and spoken, is required
  • Strong analytical and problem solving skills, with strategic thinking and attention to detail
  • Willingness to go the extra mile in a start-up environment
Benefits

  • Annual salary of CHF 180’000 and additional stock appreciation rights to participate in the increase in value of the company
  • Competitive pension plan benefits
  • Be part of a venture in a fast-growing market with the ambition to compete with the world's best
  • Inspiring environment with a focus on excellence, teamwork, and transparency
  • Work in the city center of Zurich

Please note that only direct applications with a valid work permit for Switzerland will be considered for this position.

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