Senior Risk Manager - Real-Time Markets & Compliance

P2P

San Francisco (CA)

Hybrid

USD 100,000 - 250,000

Full time

14 days+
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Benefits offered by this job

401(k) plan
Health insurance
Hybrid work setup
Career growth opportunities

Job summary

Crypto.com, a leading cryptocurrency platform, seeks a Senior Risk Manager to oversee frontline risk enforcement, real-time risk monitoring, and regulatory compliance across multi-asset accounts. You will execute risk protocols, coordinate margin actions, and collaborate with trading, ops, tech, and compliance to ensure robust risk governance.

The role requires 5–10+ years in risk management or derivatives operations, with strong Python/SQL skills and knowledge of SPAN.

Qualifications

  • Degree in a quantitative discipline; CFA/FRM an added advantage.
  • 5–10+ years in risk management, trading, or derivatives operations.
  • Proficient in Python and SQL with strong data analysis.
  • Familiarity with SPAN and portfolio-margining methodologies.
  • Strong written and verbal communication for leadership and regulators.

Responsibilities

  • Monitor real-time and end-of-day risk exposures across client futures accounts and multi-asset clearing.
  • Enforce risk controls, margin requirements, and coordinate margin calls and liquidations when needed.
  • Lead regulatory risk reporting, attestations, and audits with cross-functional teams.
  • Collaborate with trading, operations, technology, and compliance to maintain risk governance.

Skills

Python
SQL
Risk management
Derivatives knowledge
Leadership under pressure
Communication with leadership

Education

Quantitative degree
CFA/FRM (advantage)

Tools

SPAN

Job description

Crypto.com, a leading cryptocurrency platform, seeks a Senior Risk Manager to oversee frontline risk enforcement, real-time risk monitoring, and regulatory compliance across multi-asset accounts. You will execute risk protocols, coordinate margin actions, and collaborate with trading, ops, tech, and compliance to ensure robust risk governance.

The role requires 5–10+ years in risk management or derivatives operations, with strong Python/SQL skills and knowledge of SPAN.

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