BuckChaf is a London-founded Web3 and FinTech consulting company working with Tier-1 exchanges, protocols, and infrastructure providers.
We are hiring a Crypto Risk Exposure Manager to support our APAC and global expansion, working closely with institutional clients and internal cross-functional teams in a remote-first environment.Location: Remote
Employment Type: Full-time
Role Overview
As a Crypto Risk Exposure Manager, you will be responsible for overseeing portfolio-level risk, exposure limits, and capital efficiency across trading activities.
This role ensures that trading performance is sustainable, drawdowns are controlled, and risk is aligned with the firm’s long-term objectives.
You will act as an independent risk function working closely with traders and leadership.
What You’ll Do
Monitor portfolio-level exposure, leverage, and correlations
Define and enforce risk limits and drawdown thresholds
Evaluate risk-adjusted performance across strategies
Stress-test positions under different market scenarios
Identify concentration and liquidity risks
Produce risk reports and escalation recommendations
What We’re Looking For
Experience in risk management, portfolio management, or trading operations
Strong understanding of derivatives risk, leverage, and liquidation mechanics
Ability to challenge trading decisions constructively
High integrity, discipline, and independence
Comfort working with incomplete or fast-changing data
Preferred Qualifications
Background in institutional trading, market making, or hedge funds
Experience with crypto-specific risk factors
Strong analytical and quantitative reasoning skills
Compensation Growth
Competitive compensation aligned with responsibility level
Direct influence on capital allocation and strategy design
Long-term leadership path in trading risk management
85 rb ~ 140 rb USD / tahun
Diperlukan pengalaman selama 10 tahun