We are instructed on an exciting trading risk role with a growing crypto hedge fund in APAC region.
This is an exciting opportunity for candidates with strong trading/ portfolio risk backgrounds to join rapidly growing trading platform with a focus on digital asset classes. Your responsibilities will include monitoring risk-related solutions for the platform’s crypto asset trading products, emphasizing market and portfolio risk analysis to optimize risk control parameters and mitigate losses from abnormal market events. Identifying potential risk based on real-time market data and risk indicators, and take decisive actions, implementing effective risk model, policies and procedures.
As a qualified candidate, you should bring a minimum of 6 years of experience in trading risk management within trading platforms or hedge funds, with a strong familiarity with event driven discretionary strategy. Solid knowledge on crypto industry and proficiency in Python or SQL.
Please send your CV to Vivian Chen at vchen@ashford-benjamin.com, or call +852 2315 9503 for a confidential discussion.
To apply for this job email your details to vchen@ashford-benjamin.com
