Senior Manager, Financial Risk

Ripple Ripple · Fintech · New York, NY +1 · Finance

Senior Manager, Financial Risk at Ripple, focusing on building and implementing risk models, loss forecasting, and stress testing frameworks within the digital asset space. This role acts as a strategic partner to commercial leadership, shaping strategies for scaling products and entering new markets prudently, while mitigating counterparty risk and setting credit limits.

What you'd actually do

  1. Be a Strategic Partner to the Business: You won't just assess risk; you'll co-pilot business growth across RLUSD, Payments, Lending, and Trading. You’ll work hand-in-hand with commercial leaders to structure innovative deals and develop new products, providing the expert risk guidance that makes ambitious goals achievable. Your primary objective is to find the path to "yes" while safeguarding the firm within its risk appetite.
  2. Build the Future of Risk Management: Design and implement sophisticated risk models, loss forecasting methodologies, reporting tools, and stress testing frameworks that are fit-for-purpose in the digital asset space. You will be instrumental in building the robust governance structures and reporting systems that keep senior leadership informed and drive strategic alignment.
  3. Communicate, Educate, and Influence: Become the go-to expert for financial risk across the organization. A key part of your role will be to distill highly technical topics into concise, easy-to-understand insights for a variety of partners, from business development to the C-suite. Your ability to communicate effectively will shape risk culture and drive informed decision-making across Ripple.
  4. Mitigate Counterparty Risk: You'll move beyond traditional financial statement analysis to develop a comprehensive view of counterparty health in the dynamic crypto ecosystem, setting intelligent credit limits and monitoring exposures that empower our partners to grow with us.

Skills

Required

  • risk management
  • financial markets
  • trading
  • complex financial products
  • financial statement analysis
  • credit underwriting
  • limit-setting
  • risk models
  • communication skills
  • collaboration

Nice to have

  • crypto experience

What the JD emphasized

  • 10+ years
  • complex financial products
  • sophisticated risk models
  • build strong relationships