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Galaxy
VP-risk-management-galaxy
at Galaxy
8 months ago | 424 views | 2 applications

VP-risk-management-galaxy

Full-time
San Francisco
Per year
$190,000 To $240,000

About the company

Galaxy Asset Management (“GAM”) is the funds business of Galaxy. GAM manages approximately $2.4 billion in assets for institutional and wealth clients across more than 15 different passive, active and venture strategies.

Job Summary

What You’ll Do

📍Design and implement market risk management strategies and policies to identify, measure, and manage market-related risks, including interest rate, currency, equity, commodity risks, and the unique volatility, liquidity, regulatory, and smart contract risks of digital/on-chain assets. 📍Lead the franchise market risk management team with a specific focus on digital assets and DeFi protocols, promoting a culture of risk awareness and disciplined risk-taking across digital, and traditional asset classes. 📍Work closely with the trading team to integrate risk management practices into the decision-making process, aligning with the firm’s risk appetite and investment objectives. 📍Risk-manage several portfolios consisting of crypto assets and crypto derivatives, among other instruments. 📍Integrate comprehensive DeFi market analysis into risk management practices, considering the impact of decentralized lending protocols, yield farming strategies, automated market makers as well impermanent loss, protocol hacking incidents, and liquidity crunches. 📍Leverage on-chain analytics and DeFi protocol data to enhance risk assessment and decision-making processes.

What We’re Looking For

📍5+ years of experience in risk management, with significant expertise in digital assets, market risk, and a deep understanding of the DeFi space, within a hedge fund, investment bank, or related financial institution. 📍Professional experience trading or risk managing options, interest rate derivatives, exotic and structured assets. 📍Strong analytical, quantitative, and technical skills, with experience in risk modeling tools and techniques relevant to digital and DeFi assets. 📍Degree in Finance, Economics, Mathematics, or a related field, with professional certifications such as FRM or CFA being desirable. Additional certifications or proven experience in blockchain and DeFi protocols would be a plus. 📍Exceptional knowledge of the DeFi ecosystem, including familiarity with the leading protocols, smart contract functionality, and the ability to assess protocol risks. 📍Proven ability to navigate the rapidly evolving DeFi market, with a keen eye for emerging risks and regulatory changes affecting DeFi investments. 📍Coding experience including Python, SQL.

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