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Posted a day ago
Risk Manager
IMCRisk Manager
Requirements
3-7 years financial risk management experience, Digital asset exposure, Python, MATLAB, or R, Quantitative academic background
Skills
Pythonrisk managementDigital Assets
About the role
Responsibilities
- Identify and manage market, credit, and operational risks across digital asset activities
- Maintain and develop risk monitoring tools to measure and mitigate exposures
- Design, test, and implement key controls to strengthen the risk framework
- Develop and implement policies and procedures to manage and optimize risks
- Analyze digital asset market developments to enhance risk methodologies
- Perform risk control self-assessments and impact analysis
- Collaborate daily with Trading, Finance, and Compliance teams
Requirements
- 3 to 7 years of experience in financial risk management
- Relevant exposure to digital assets, ideally in proprietary trading
- Understanding of digital asset market structure, custodians, exchanges, and DeFi
- Proficiency in a programming language such as Python, MATLAB, or R
- Academic background in a quantitative field like statistics, physics, or financial mathematics
- Strong communication and problem-solving skills
About the Company
IMC is a global proprietary trading firm powered by a cutting-edge research environment and a world-class technology backbone. Since 1989, IMC has provided essential liquidity across global financial markets through a collaborative, high-performance culture.
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IMC · Zug
