Head of Trading Risk
Full-time
Bybit
About the Role
We are looking for a senior leader to head our newly formed Trading Risk team. This is a critical leadership role created as part of a strategic reorganization to consolidate all business-risk-related functions across our trading verticals into a single, dedicated team. The Head of Trading Risk will own end-to-end business risk operations and logic design across multiple product lines, reporting directly to senior leadership.
Key Responsibilities
- Team Leadership & Strategy
- Lead and grow the Trading Risk team, setting the strategic vision for business risk management across the organization
- Build a high-performing, risk-focused culture with strong accountability and ownership
- Define team OKRs, establish performance standards, and drive continuous improvement
- Collaborate closely with Product, Engineering, and Operations teams to embed risk thinking into product development
- Risk Coverage — Multi-Product Line Oversight
- Own business risk operations and logic design across:
- Spot Trading — market risk, counterparty exposure, and trading anomaly detection
- Derivatives ( Futures , Options , CFD , Perps ) — margin risk, liquidation logic, settlement risk, and position limits
- Loan / Earn — collateral risk, interest rate risk, and protocol-level exposure management
- Design and maintain risk control frameworks, alert systems, and escalation protocols for each product line
- Conduct ongoing risk assessments for new product launches and feature changes
- Provide risk-related logic design recommendations and improvement proposals for all business units
- Operational Risk Management
- Oversee real-time risk monitoring systems and ensure timely incident response
- Define and enforce risk parameters (position limits, margin requirements, circuit breakers, etc.)
- Lead post-mortem analysis on risk incidents and drive systematic remediation
- Work with the Engineering/Tech team to ensure risk control systems are robust, scalable, and properly maintained
Requirements
Must-Have
- 8+ years of experience in risk management within financial services, fintech, or crypto/digital assets
- 3+ years in a leadership role managing risk teams (team size 5+)
- Deep understanding of derivatives risk (futures, options, perpetual swaps, CFDs) — including margin models, liquidation engines, and settlement processes
- Experience with multi-product risk management covering at least 3 of: spot, derivatives, lending, earn/yield products
- Strong quantitative background — ability to design and validate risk models, parameters, and control logic
- Excellent communication skills — able to translate complex risk concepts for product and business stakeholders
- Proven ability to build and scale risk teams from the ground up or through significant transformation
- AI -first mindset — actively leverages AI/ML tools and techniques to enhance risk detection, automate workflows, and improve decision-making efficiency
- Programming proficiency in Python and/or C++ — able to build risk models, prototype monitoring tools, and work directly with quantitative codebases
- Fluent in English; proficiency in Mandarin Chinese is strongly preferred
Nice-to-Have
- Experience in crypto/digital asset exchanges or high-frequency/algorithmic trading environments
- Background in TradFi risk management (banks, prop trading, hedge funds) transitioning to crypto
- Familiarity with market surveillance tools and techniques
- Experience with risk-related system architecture and working closely with engineering teams
- Advanced degree (MSc/PhD) in quantitative finance, financial engineering, mathematics, or related field
What We Offer
- Direct leadership of a strategically important, newly formed team with executive visibility
- Opportunity to define risk frameworks from the ground up across an expanding product ecosystem
- Competitive compensation package commensurate with experience
- Fast-paced environment with real impact on business decisions
Vacancy posted 11 hours ago
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