Risk Manager
vor 1 Tag
About Tradeify
is a fast-growing fintech company redefining access to modern trading. We empower thousands of traders worldwide through capital, technology, and data-driven tools designed for high-performance decision-making. With a growing global footprint and a culture built on precision, transparency, and innovation, we're scaling our operations to meet the demands of a rapidly evolving trading landscape.
The Opportunity
We're looking for a Risk Manager who will play a critical role in monitoring, analyzing, and optimizing Tradeify's exposure across multiple trading products and strategies. This is a hands-on role that blends quantitative analysis with operational awareness — ideal for someone who thrives in fast-moving environments and has a sharp eye for detail. You'll work closely with leadership, the trading operations team, and technology partners to build and maintain a robust risk framework that protects the firm while enabling growth.
What You'll Do- Develop, maintain, and enforce risk policies and procedures aligned with Tradeify's risk appetite and business strategy.
- Monitor real-time trading activity to identify anomalies, excessive exposure, or irregular patterns.
- Collaborate with operations and engineering teams to improve internal monitoring tools, dashboards, and automated alerts.
- Conduct stress testing, scenario analysis, and daily exposure reviews to ensure capital efficiency and compliance.
- Communicate key insights and recommendations to senior leadership, ensuring timely and data-driven decision-making.
- Support new product launches by assessing risk parameters, margin models, and capital allocation frameworks.
- Continuously evaluate and improve Tradeify's risk models, metrics, and controls as the platform scales.
- 4+ years of experience in risk management, trading operations, or quantitative finance.
- Strong understanding of derivatives, leverage, market volatility, and exposure management.
- Experience with risk systems, data analytics, or real-time monitoring tools.
- Solid quantitative background — proficiency with Excel, SQL, Python, or similar analytical tools is a plus.
- Exceptional attention to detail and the ability to interpret data under time pressure.
- Strong communication skills, with the ability to translate complex data into actionable business insights.
- A proactive, curious, and collaborative mindset — eager to improve processes and build systems that scale.
- Experience in proprietary trading, fintech, or capital markets.
- Familiarity with automation and data visualization tools (Tableau, Power BI, or internal dashboards).
- Understanding of regulatory or compliance frameworks related to trading risk.
- Join a high-growth fintech with a global impact.
- Collaborate directly with leadership on high-visibility, high-impact projects.
- Help shape the systems, policies, and culture that define how we manage risk firmwide.
- Competitive compensation, autonomy, and growth opportunities in a fast-scaling environment.
Our Hiring Process
Recruiter Interview: If we like your initial application, expect to schedule an interview with a member of our recruitment team. This interview will focus on getting to know you a bit more and will explain the culture of the company. We want to know more about why you want to join our team, how you feel about our company, and how it fits into your overall career plan to make sure this is the right place for you.
Interview(s) with your future manager: This is to make sure that you are a fit for the role you are applying to and to explore your career history. In this interview, we'll learn more about the hard and soft skills you possess to help determine if you'd be a good fit for us.
Final Interview(s) with Leadership: Depending on the role, you may be interviewed by our senior leaders to assess your strategic thinking and fit within the broader team.
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