Head of Risk
Location
United States
Posted
19 days ago
Salary
0
Seniority
Lead
No structured requirement data.
Job Description
Head of Risk
Ondo Finance
Role Description We’re looking for a Head of Risk to build and own Ondo’s end-to-end risk function across our products, protocols, and balance sheet. This role will define how risk is measured, governed, and mitigated across smart contract systems, trading activity, collateral management, and counterparties. You will work closely with engineering, trading, product, and leadership to ensure that Ondo can safely scale into more complex products such as perpetuals while maintaining institutional-grade risk standards. This is a high-impact, high-autonomy role responsible for shaping core decisions around capital allocation, liquidity, and system design. Target Outcomes - Implement a comprehensive Enterprise Risk Management (ERM) framework and playbook across smart contract, market, liquidity, and counterparty risk, with clear ownership and escalation paths. - Oversee and optimize the risk engine to manage margin requirements, liquidation protocols, risk-adjusted limits for collaterals, and liquidity parameters with the goal to balance growth and downside protection. - Embed risk-aware product design into all new launches, including perps and other leveraged products covering oracle reliability, tail-risk and exploit vectors. - Develop an automated Risk Dashboard with real-time monitoring and implement reporting systems that provide clear visibility into firm-wide risk exposure. - Oversee resilient and rigorous risk engine design to ensure system stress tests handling capabilities, scenario analysis (flash-crash, black swan de-pegs, liquidity shocks), ensure adequacy of capital buffers to maintain platform stability. - Mapping out custody risk: qualified custodians, segregation of assets, insurance if possible, proof-of-reserves, hot wallet exposure, and operational controls around key management / multisig / MPC. - Design and calibrate withdrawal, redemption, and liquidity mechanisms to reduce systemic risk while maintaining a strong user experience. Responsibilities - Define and implement Ondo’s holistic ERM framework across protocol, financial, and operational domains. - Own risk parameterization including collateral requirements, leverage limits, liquidation thresholds, and liquidity buffers. - Evaluate smart contract architectures and protocol designs for potential vulnerabilities and systemic risks. - Design and enforce risk controls around treasury management, stablecoin exposure, and onchain liquidity. - Assess and manage due diligence process for all counterparty risk across exchanges, market makers, custodians, and other partners. - Partner with engineering and product teams to embed risk considerations into all stages of the development lifecycle. - Architect monitoring systems and dashboards to track real-time exposures and trigger risk alerts. - Lead scenario analysis and stress testing across market conditions, liquidity shocks, and protocol failures. - Establish governance processes for risk decisions, including escalation frameworks and cross-functional alignment. - Advise leadership on tradeoffs between growth, capital efficiency, and risk tolerance. Requirements - 8+ years of experience in risk management, trading, or related quantitative roles, spanning both traditional finance and crypto. - Deep understanding of equities markets, derivatives (including perpetual futures), crypto markets, collateralized lending, and exchange mechanics across both CeFi and DeFi. - Proficiency with quantitative tooling for risk modeling and simulation. - Strong familiarity with smart contract systems and common DeFi risk vectors. - Experience defining and managing risk parameters such as margining, liquidation engines, auto-deleveraging, and liquidity controls. - Demonstrated ability to operate at both strategic and highly technical levels. - Strong quantitative intuition with ability to model and evaluate market, liquidity, credit, and counterparty risk. - Proven track record of owning risk decisions in high-stakes, fast-moving environments with material capital at risk. Nice to Haves - Experience at a centralized crypto exchange, derivatives venue, or market maker. - Insurance domain knowledge, particularly in D&O, crime, cyber, and smart-contract coverage. - Background in building or scaling risk functions from scratch. - Hands-on experience with onchain analytics tools and real-time risk monitoring infrastructure. - Familiarity with regulatory frameworks relevant to tokenized securities. - Experience working with hybrid or distributed teams. Benefits - Competitive compensation including but not limited to salary, future token rights, and/or equity (according to your preferences) — We are well-funded and believe that great talent deserves great compensation. - Full benefits (medical, vision, and dental) and flexible vacation policy (PTO). - Remote-first team across many countries — You will be an early team member helping shape our vision, culture, and design practices. - A+ colleagues — Our team includes alumni from: Goldman Sachs, Blackrock, Two Sigma, Bridgewater, SpaceX, AWS, Meta, Google, McKinsey, Circle, Uniswap. - Best-in-class investors — We are proud to be backed by leading crypto experts and VCs, including Pantera Capital, Founders Fund and Coinbase Ventures.
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