Senior Market Risk Manager/ Manager
il y a 3 jours
Company Description
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Company Name: Binance
**Job Description**:
- Binance is the global blockchain company behind the world’s largest digital asset exchange by trading volume and users, serving a greater mission to accelerate cryptocurrency adoption and increase the freedom of money.
Are you looking to be a part of the most influential company in the blockchain industry and contribute to the crypto-currency revolution that is changing the world?
- Responsibilities
- Design, implement and operate a risk management framework to ensure that market risks assumed are properly assessed, measured, validated and managed in compliance with Binance risk policies and risk appetite
- Design and measure the effectiveness of market risk framework and pre-trade & post-trade control; recommend changes as required
- Monitor the financial market environment and market risk model performance for optimal execution of risk strategies which includes but not limited to VaR, Stress test, historical event scenarios for crypto assets
- Build appropriately sized team to support global analysis of market risk
- Partner with other teams (Product, CDA, Finance, etc) in developing new and improving existing analytics and quantitative models for measuring market risk
- Implement market risk limit to token/ crypto asset and produce daily risk reports for performance monitoring
- Stay abreast of relevant changes to rules/regulations, emerging risks and other industry news including regulatory findings
- Oversee the preparation of market risk reports, examinations, audits and inspections from external parties and ensure findings are remediated appropriately
- Manage the review and sign-off process for relevant regulatory reporting
- Support ad-hoc risk strategy presentations and initiatives including regular clear, concise reports on Binance market risk position to executive team
- Lead and integrate the monitoring, measurement & reporting on the status of the market risk governance program to internal & external stakeholders
- Review new business initiatives and monitor existing initiatives to identify potential risk situations/ impacts; make recommendations or escalate as appropriate Partner with product teams to drive new business initiatives within risk tolerances
- Requirements
- 10+ years of demonstrated experience in market risk management in financial services, with experience in derivatives and complex trades
- Deep experience monitoring real-time market trends, conducting real-time portfolio analysis, developing and managing quantitative risk measurement models, and designing and interpreting stress testing analyses
- Strong intellect, a broad perspective, an ability to think strategically, and the confidence to interact with a wide-range of senior leaders
- Great hiring and people manager
- Demonstrated track record of reporting to senior management on emerging trends and regulatory issues
- Excellent written and spoken communicator with ability to translate complex risk topics into actionable tasks
- Expert knowledge and understanding of market risk management practices, regulatory requirements and risk policy frameworks
- Knowledge about best practices in technology, systems, data reporting for compliance
- Organisation skills and experience setting priorities, problem-solving, multi-tasking, analytical experience, a self-starter who works well independently and in a team in a dynamic, rapidly changing workplace
**Working at Binance**
- Do something meaningful; Be a part of the future of finance technology and the no.1 company in the industry
- Fast moving, challenging and unique business problems
- International work environment and flat organisation
- Great career development opportunities in a growing company
- Possibility for relocation and international transfers mid-career
- Competitive salary
- Flexible working hours, Casual work attire
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