Financial Risk Manager

Bullish

Base: $200,000 - $230,000; bonus/equity: discretio...
6+ years financial risk management experience
Direct central counterparty or clearing member risk experience
Hands-on margin methodologies including backtesting and stress testing
This role provides critical support to the Director of Financial Risk for both US and non-US exchange activity while driving the risk program development of the new US risk derivatives intermediation business

Job Summary

  • This role provides critical support to the Director of Financial Risk for both US and non-US exchange activity while driving the risk program development of the new US risk derivatives intermediation business.
  • The Financial Risk Manager will ensure systemic risk controls and models meet all regulatory requirements while protecting company assets in a fast-paced, highly volatile market.
  • Bullish offers competitive compensation ranging from $200,000 to $230,000 plus discretionary annual target bonus and performance incentives.

Matching Summary

This role provides critical support to the Director of Financial Risk for both US and non-US exchange activity while driving the risk program development of the new US risk derivatives intermediation business.

Salary

Base: $200,000 - $230,000; Bonus/Equity: Discretionary annual target bonus + performance incentives/benefits; Benefits: Not specified

Skills & Requirements

Must-have

  • 6+ years financial risk management experience
  • Direct central counterparty or clearing member risk experience
  • Hands-on margin methodologies including backtesting and stress testing
  • Strong familiarity with US derivatives intermediary regulations
  • Bachelor's degree in Finance, Economics, Mathematics, or Statistics

Nice-to-have

  • Experience with digital assets or cryptocurrency markets
  • Master's degree in a quantitative field
  • FRM or CFA professional certification
  • Ability to thrive in high-volatility environments
  • Strong leadership and strategic planning abilities

Key Requirements

  • 6+ years experience in financial risk management
  • Direct experience with central counterparty or clearing member risk
  • Bachelor's degree required; Master's strongly preferred
  • FRM or CFA certification highly desirable
  • In-depth understanding of US derivatives regulatory frameworks

Work Rights

Not specified

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