Role Overview
Join the Nadex Clearing Organisation as a Risk Manager and contribute to the building of a fast-growth trading platform with innovative, multi-asset products. You will be responsible for daily risk management, regulatory requests, and end-of-day settlement pricing processes.
What You Will Do
Cover daily risk management responsibilities, manage regulatory requests, oversee end-of-day settlement pricing processes, and drive new product listing and product design from a clearing perspective.
Why It Might Be a Fit
This role requires a strong understanding of equities, commodity products, futures, perpetuals, and other derivatives, as well as proficiency in Python and SQL. You will have the opportunity to perform quantitative research and evaluate default management procedures and systemic risk exposure.
Requirements
- 5+ years of relevant working experience in clearinghouse risk, default management, operations, or a related field
- Degree or above in a quantitative discipline
- Proficient in Python and SQL
- Strong understanding of equities, commodity products, futures, perpetuals, and other derivatives
- Solid understanding of margin concepts, liquidations, Default Management frameworks, and direct trading experience
- Familiarity with CFTC, NFA, and SEC regulations
Benefits
- Salary: $100,000 - $200,000 a year
Originally posted on