We're searching for a candidate with a highly specific skill-set to take on the role of Asset Risk Manager for a start-up company providing a defined credit framework via Bankroll-as-a-Service to high-volume, possibly high-risk industries. The role spans two dimensions of risk: operational risk (volatility, win/loss swings, and the quality of clients/operators) and liquidity risk (making sure capital is in the right place at the right time, that funding commitments can always be met, and that no single position can impair the pool). At the centre of both sits the credit question — ensuring an operator is never extended more credit than their wagering volume and economics can reliably support. This is a senior, hands-on position. You will build the models, set the limits, run the monitoring and own the judgement calls, working directly with the leadership team and reporting to the board.
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Job Type
Full-time
Career Level
Senior