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1 mo agofound 2 h ago
Risk Manager
What the posting is about
Join Flow Traders as a Risk Manager in Hong Kong, collaborating with Trading and Technology teams to evaluate market and credit risks across multiple asset classes, including Digital Assets. Enhance risk management frameworks and develop quantitative risk models using automation and AI tools. Strong communication skills and quantitative background required.
Read out of the posting
LevelNot stated
Experience asked3+ years
EmploymentFull time
LocationHong Kong
RemoteNot stated
Visa sponsorshipNot stated
SalaryNot published, and most postings do not
Posted2026-09-01
Found viagreenhouse, direct from their system
We saw it 1 month after it went up.
The posting, as the company wrote it
Flow Traders is looking for an experienced Risk Manager to join our Risk team in Hong Kong. The ideal candidate is communicative, decisive, and thrives in an entrepreneurial environment.
The Risk Manager will report into the regional Head of Risk and work alongside a small team responsible for Market & Credit Risk (MCR) and Treasury & Capital Management (TCM) across our APAC trading business. This is a hands-on role that combines quantitative risk analysis in close collaboration with Trading and Technology.
What You Will Do
Evaluate and monitor APAC trading positions against market and credit risk limits, across multiple asset classes including Digital Assets
Provide management with regular updates on P&L and risk exposure
Analyse trading strategies and perform quantitative and qualitative risk analysis
Support the Head of Risk in developing and enhancing the risk management framework, policies, and procedures for the region, working in coordination with global Risk teams
Develop, implement, and enhance risk models, quantitative analytics, reports, and processes, using automation and AI tools
Ensure other risk categories, including credit, operational, and regulatory risk, are managed within the business's risk appetite
Support daily Treasury, securities borrowing and lending (SBL), and capital management activities
What You Need to Succeed
3-5 years of relevant risk management experience within a trading environment
Degree in Financial Engineering, Mathematics, Economics, Computing, or a related quantitative field
Strong financial markets, products, and valuation knowledge across multiple asset classes. Knowledge of Digital Assets is preferred.
Comfortable making decisive, well-reasoned calls on OTC risk requests under time pressure
Proficient in SQL and Python, with hands-on experience in applying AI tools to improve the efficiency of risk processes
Adaptable to a multi-prime broker environment and APAC-specific market structures
Strong communicator and team player, able to work directly with Traders, Technology, and external stakeholders
Meticulous and detail-oriented, with strong numerical and logical reasoning abilities
Flow Traders does not accept unsolicited resumes from any professional staffing or search firms. All resumes, and any other information identifying potential candidates, submitted to any employee at Flow Traders via-email, the Internet or directly without a valid and signed search agreement will be deemed free to contact by Flow Traders without any restrictions and no placement fee of any kind will be paid in the event the candidate is hired by Flow Traders.
Copied from Flow Traders’s own board, not rewritten. Original ↗
Also open at Flow Traders
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