Risk Control Specialist at MEXC

Full Time1 month ago
Employment Information
Job Description
This role is pivotal in ensuring the organization's financial stability and operational integrity through proactive risk management. The incumbent will be responsible for developing, implementing, and monitoring risk control strategies across all business units. Key focus areas include market risk analysis, compliance oversight, and data-driven decision-making to safeguard company assets and mitigate potential threats. The position requires close collaboration with cross-functional teams to align risk protocols with strategic objectives and regulatory frameworks.
Key Responsibilities
  • Design and execute comprehensive risk control strategies, working closely with senior management and department heads to identify vulnerabilities and establish mitigation frameworks.
  • Monitor market conditions in real-time using advanced analytics tools, and implement automated alert systems to detect emerging risks and trigger timely responses.
  • Conduct systematic quality assurance reviews of transactional data and documentation, ensuring accuracy, completeness, and compliance with internal standards.
  • Prepare detailed risk assessment reports, including quantitative analysis of potential financial impacts and qualitative evaluations of operational risks.
  • Collaborate with legal and compliance teams to ensure adherence to industry regulations, conduct periodic audits, and maintain up-to-date risk management documentation.
  • Develop risk management dashboards and visualization tools to present complex data in an accessible format for stakeholders and decision-makers.
  • Participate in risk scenario planning exercises to simulate potential crises and evaluate the effectiveness of contingency strategies.
  • Coordinate with IT departments to implement risk management software solutions and ensure data security protocols are maintained.
Job Requirements
  • Bachelor's degree in Finance, Risk Management, Economics, or related field; Master's degree or MBA preferred.
  • Minimum of 5 years of professional experience in risk management, with a proven track record in financial services, trading, or compliance environments.
  • Proficiency in statistical analysis, financial modeling, and data interpretation using tools such as Excel, SQL, Python, or Tableau.
  • Strong understanding of regulatory compliance frameworks (e.g., Basel III, GDPR) and risk assessment methodologies (e.g., VaR, stress testing).
  • Excellent communication skills to present technical risk findings to non-technical stakeholders and collaborate with global teams.
  • Certifications in risk management (e.g., FRM, PRM) or compliance (e.g., CFA, CCRP) are highly advantageous.
  • Ability to work independently under pressure while maintaining attention to detail in high-stakes environments.
  • Fluency in English and at least one additional language (e.g., Mandarin, Spanish) for cross-border communication.
  • Experience with risk management software (e.g., RiskWatch, SAS Risk Management) and ERP systems (e.g., SAP, Oracle).
  • Strong analytical mindset with the ability to identify patterns in complex datasets and translate findings into actionable insights.
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