Risk Officer (ADGM)
Description
Primrose Capital Management is a global quantitative digital assets fund manager revolutionizing how digital capital is managed. Backed by decades of experience at renowned quantitative hedge funds and as pioneers in digital asset derivatives, we leverage cutting-edge technology and data-driven insights to deliver sustainable value to our clients.In Primrose, everyone is encouraged to challenge the boundaries of conventional thinking. Our goal is to hire the best and brightest individuals who think creatively and embody a commitment to continuous improvement. If that is you, then come along and shape the future of the digital assets space with us!Job Summary The Risk Officer (“RO”) is responsible for the identification, mitigation, and management of all risks within the Firm and those it may face. The RO is the main point of contact for all risk matters and provides advice and support to the Board and the Firm’s employees, including Senior Management, regarding risk.In partnership with the SEO, the RO is responsible for developing and maintaining the Firm’s Risk Framework, ensuring that controls are effective and aligned with the Firm’s nature, structure, and daily operations.The Board has delegated responsibility for managing the risk function to the RO, including the authority to carry out these responsibilities according to the policies established by the Board.Responsibilities Develop and maintain the Firm’s Risk Management Policy.Conduct the annual Internal Risk Assessment Process (IRAP) in line with regulatory requirements.Provide support and guidance to staff on operational and other relevant risks.Produce and present risk reports to Senior Management and the Board, detailing the Firm’s material risks.Contribute to the annual business strategy and planning to ensure strategic risks are identified and managed.Assist management with operational risk issues and their resolution.Support risk management in ad hoc projects and organizational changes.Minimum Qualifications At least 5 years of experience in risk management within asset management, hedge funds, or financial services.Proficient understanding of Operational Risk principles and regulatory expectations (ADGM, DFSA, MAS, FCA or equivalent).Knowledge of Market Risk concepts.Strong communication skills with the ability to engage senior stakeholders confidently.Experience working with regulators and developing risk policies, controls, and reporting tools. #J-18808-Ljbffr
Posted: 13th June 2025 8.57 am
Application Deadline: N/A
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