Job Details
Risk Manager (Liquidity, Financial Modeling)
Risk Manager position focusing on liquidity and financial modeling in the intersection of traditional finance and crypto markets. Based in Moscow City office. Official employment.
We are looking for a risk manager to strengthen the function of liquidity risk management and financial modeling at the intersection of traditional finance and the crypto market. What you will do: — Control the balance of assets and liabilities — Analyze inflows and outflows, forecast liquidity needs — Develop and apply statistical risk models — Define parameters and limitations of financial models — Build risk monitoring systems — Prepare analytical reports and dashboards for management
Who we are looking for: — 3+ years of experience in a bank, brokerage, or other financial organization — Practical experience in liquidity risk management — Work experience as a risk manager or in middle office — Understanding of Basel approaches — Higher technical / economic / financial education Key skills: — Strong analytical mindset — Experience in building statistical models — Advanced Excel, SQL, MS Office — BI systems (Power BI is desirable) Will be a plus: — Professional risk manager qualification — Experience with the crypto market (not mandatory - we are ready to train)
— Office in Moscow City — Schedule 9:00–18:00 (flexible format possible) — Official employment according to the Labor Code of the Russian Federation — Probation period 3 months
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