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Head of Market Risk Global; Remote

Remote, USA Full-time Posted 2026-06-20

Position: Head of Market Risk (Decibel) Global (Remote) Decibel is a high-performance, fully on-chain trading platform built in collaboration with Aptos Labs and the Decibel Foundation. Designed to match the speed of high performance trading, Decibel offers spot, perpetuals, and yield products through a unified, self-custodial interface. The platform runs on the Aptos blockchain, leveraging its sub-20ms block times and parallel execution to support real-time settlement, cross-margining, and modular vault strategies. Decibel aims to serve as the execution layer for the Aptos global trading engine, empowering traders, developers, and institutions with scalable, composable financial infrastructure.

Overview

Decibel is a high-performance, fully on-chain trading platform built in collaboration with Aptos Labs and the Decibel Foundation. Designed to match the speed of high performance trading, Decibel offers spot, perpetuals, and yield products through a unified, self-custodial interface. The platform runs on the Aptos blockchain, leveraging its sub-20ms block times and parallel execution to support real-time settlement, cross-margining, and modular vault strategies. Decibel aims to serve as the execution layer for the Aptos global trading engine, empowering traders, developers, and institutions with scalable, composable financial infrastructure. Position Overview The Head of Market Risk (Decibel) is a senior leadership role responsible for overseeing and enhancing the firm’s risk management framework across market, trading, and exchange operational risks. This individual will ensure robust risk controls, real-time monitoring, and crisis response mechanisms while working closely with engineering, trading, and executive teams. The ideal candidate will have deep expertise in derivatives risk modeling, crypto markets, and financial engineering, with prior experience at top-tier trading firms, exchanges, or investment banks.

Key Responsibilities

  • Risk Engine & Framework: Continuously improve and manage the firm’s risk engine, ensuring accurate pricing, margin modeling, and liquidation mechanisms.
  • Risk Modeling & Analysis: Develop and refine market risk models, including Value-at-Risk (VaR), stress testing, and scenario analysis.
  • Risk Surface Assessment: Identify emerging risk exposures, assess business impact, and implement mitigation strategies.
  • Stress & Sensitivity Testing: Collaborate with engineers to design and execute stress tests, scenario analyses, and sensitivity tests.
  • Market Surveillance: Build and enhance real-time monitoring tools for liquidity risks, market manipulation, and abnormal liquidation events.
  • Alerting & Emergency Protocols: Establish automated alerting systems and on-call response processes for risk-related emergencies.
  • Documentation & Reporting: Maintain clear documentation of risk models, processes, and key risk vectors for internal and external stakeholders.
  • Define and adjust max leverage, position limits, and maintenance margin ratios per market.
  • Set open interest caps and evaluate collateral haircuts for multi-asset portfolios.
  • Continuously validate model accuracy by comparing expected vs. actual outcomes.
  • Evaluate and set collateral haircut ratios
  • Trader

Collaboration: Work closely with traders to establish risk management policies, position limits, and margin requirements.

  • Risk Dashboards & Alerts: Develop real-time risk dashboards and automated alerts for trading desk activities.
  • Position & Margin Oversight: Monitor and manage the trading desk’s exposure, ensuring adherence to risk limits.
  • Monitoring Tools: Partner with engineers to implement surveillance mechanisms for smart contract risks (e.g., large withdrawals, exploit detection).
  • DeFi Risk Assessment: Evaluate protocol-level risks in DeFi integrations and recommend safeguards.

4. Crisis Management & Incident Response

  • Emergency Protocols: Lead risk-related crisis management, including liquidation cascades, exchange outages, or market manipulation events.
  • Post-Mortems & Prevention: Conduct thorough incident analyses and implement preventive measures to mitigate future risks.

Required Background & Expertise Industry Experience

  • Years of

Experience: VP - MD level experience. 6+ years of experience.

  • Tra…

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