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Risk Manager

WHITE BIT

Risk Manager

We are the creators of a new fintech era! Our mission is to revolutionize the world by making blockchain technology accessible to everyone in everyday life. WhiteBIT is a global team of more than 1,200 professionals united by a shared vision of shaping the Web3 future. We are building our own blockchain ecosystem, ensuring maximum transparency and security for over 8 million users worldwide. Our cutting-edge solutions, rapid adaptation to market challenges, and technological excellence set us apart from traditional companies.

Requirements:

  • 4+ years of experience in risk management, including 2+ years in crypto or digital assets;
  • Bachelor's or Master's degree in Finance, Economics, Quantitative Finance, Mathematics, Engineering, or a related field;
  • Solid understanding of market microstructure and how trading strategies generate and hold risk exposure;
  • Practical knowledge of market risk metrics and methodologies - VaR/CVaR, stress testing, scenario analysis, P&L attribution;
  • Proficiency in working with data (SQL), BI tools (Tableau/Grafana), and automating KRIs/reporting;
  • Hands-on experience with crypto spot and derivatives markets;
  • Knowledge of risk identification methodologies and practical application (SWOT, checklists, environmental analysis, expert assessment);
  • Hands-on experience with crypto platforms and DeFi protocols;
  • FRM, CFA, PRMIA, or similar certifications are a plus.

Mindset & Soft Skills:

  • Proactive and initiative-driven;
  • Highly organized with strong attention to detail;
  • Comfortable in a fast-paced environment;
  • Excellent communication and negotiation skills;
  • Balanced and pragmatic decision-making;
  • Resilient under pressure;
  • Strong mentoring mindset.

Responsibilities:

  • Develop, implement, and own the risk framework, including risk appetite and exposure limits;
  • Monitor market, liquidity, and counterparty risk;
  • Monitor and analyze P&L and risk exposure, distinguishing performance drivers from risk exposure;
  • Review risk parameters with the trading and quant teams;
  • Conduct stress testing and scenario analysis to evaluate the resilience;
  • Define and maintain Key Risk Indicators (KRIs) and early-warning systems;
  • Prepare regular risk reports for senior management;
  • Coordinate the work of risk analysts and provide mentorship;
  • Support incident response and crisis management for trading-related events;
  • Collaborate with Strategy, Ops, and Engineering teams to ensure comprehensive risk identification and mitigation planning.

Work conditions:

Immerse yourself in Crypto & Web3: — Master cutting-edge technologies and become an expert in the most innovative industry. Work with the Fintech of the Future: — Develop your skills in digital finance and shape the global market. Take Your Professionalism to the Next Level: — Gain unique experience and be part of global transformations. Drive Innovations: — Influence the industry and contribute to groundbreaking solutions. Join a Strong Team: — Collaborate with top experts worldwide and grow alongside the best. Work-Life Balance & Well-being: — Modern equipment. — Comfortable working conditions, and an inspiring environment to help you thrive. — 24 calendar days of paid leave. — Additional days off for national holidays.

Vacancy posted 3 days ago
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