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Vacancy: Risk Manager (Liquidity, Financial Modeling)
Moscow (Moscow-City) ✔️ Office ✔️ Employment according to the Labor Code of the Russian Federation
We are looking for a risk manager to strengthen the function of liquidity risk management and financial modeling at the intersection of traditional finance and the crypto market.
Responsibilities: — Control the balance of assets and liabilities — Analyze inflows and outflows, forecast liquidity needs — Develop and apply statistical risk models — Define parameters and limitations of financial models — Build risk monitoring systems — Prepare analytical reports and dashboards for management
Requirements: — Experience of 3+ years in a bank, brokerage, or other financial institution — Practical experience in liquidity risk management — Experience as a risk manager or in middle office — Understanding of Basel approaches — Higher technical / economic / financial education
Key Skills: — Strong analytical mindset — Experience in building statistical models — Advanced Excel, SQL, MS Office — BI systems (Power BI preferably)
Will be a plus: — Professional qualification as a risk manager — Experience with the crypto market (not mandatory - we are ready to train)
Conditions: — Office in Moscow-City — Schedule 9:00–18:00 (flexible format possible) — Official employment according to the Labor Code of the Russian Federation — Probationary period of 3 months
📩 Applications and CVs to DM @KKatya_recruiter
from 3 years
Experience
Full-time
Employment
Onsite
Work Format
Middle
Grade
Finance
Specialization
FinTech
Industry
By country
Finance
Specialization
FinTech
Industry