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Chief Risk Officer; ADGM, RIE &RCH

Job in Abu Dhabi, UAE/Dubai
Listing for: Bybit
Full Time position
Listed on 2026-06-22
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance, Corporate Finance
Salary/Wage Range or Industry Benchmark: 400000 - 500000 AED Yearly AED 400000.00 500000.00 YEAR
Job Description & How to Apply Below
Position: Chief Risk Officer (ADGM, RIE &RCH)

About Us

Established in 2018, Bybit is one of the world’s leading cryptocurrency exchanges and digital financial platforms, serving over 80 million users across more than 200 countries and regions. Powered by world-class technology and a user-first mindset, Bybit delivers a seamless ecosystem across trading, payments, wealth management, custody, institutional services, and Web3 - connecting users to the future of digital finance.

Our core values define how we build. We listen, care and improve to create products and experiences that put users first. Backed by a global team of ambitious builders, problem-solvers, and innovators, we foster a high-performance and fast-moving environment where talent is empowered to drive real impact at the global scale. Supported by 24/7 multilingual customer service and a strong commitment to innovation, we are shaping the future of finance through technology, collaboration, and bold execution.

Today, Bybit is recognized as one of the most trusted and transparent platforms in the digital asset industry, continuing to expand its global presence while building the infrastructure for the next generation of financial services.

Role Overview

The Chief Risk Officer (CRO) is responsible for establishing and overseeing the risk management framework for the firm’s exchange and clearing operations conducted in or from ADGM. The role provides independent oversight of risks impacting market integrity, clearing and settlement activities, liquidity, operational resilience, and the overall stability of the exchange and clearing ecosystem.

Key Responsibilities
  • Develop, implement, and maintain the risk management framework in accordance with applicable FSRA Rules, FSMR, and Market Infrastructure Rules (MIR).
  • Oversee risk governance processes covering market, clearing and settlement, liquidity, collateral, operational resilience, technology, cyber security, outsourcing, and systemic risks.
  • Monitor the overall risk profile of the exchange and clearing operations and ensure material risks are managed within approved risk appetite.
  • Oversee frameworks relating to margin methodologies, collateral management, liquidity monitoring, stress testing, and default management.
  • Provide independent risk oversight and challenge over exchange operations, clearing activities, market structure changes, participant onboarding, and new products.
  • Conduct stress testing, scenario analysis, reverse stress testing, and recovery planning exercises to assess the resilience of the market infrastructure.
  • Assess risks relating to market abuse, participant exposures, operational disruptions, and systemic events.
  • Oversee the development and maintenance of risk policies, procedures, risk indicators, and reporting frameworks.
  • Prepare regular risk reports for the Board, Risk Committee, and senior management.
  • Liaise with the FSRA on risk management matters, regulatory reviews, inspections, and supervisory engagements.
  • Promote a culture of risk awareness, market integrity, and operational resilience across the organisation.
Requirements
  • Bachelor's degree in Risk Management, Finance, Economics, Accounting, Law, Mathematics, Engineering, or a related discipline.
  • Significant experience in risk management within exchanges, clearing houses, capital markets, financial market infrastructure providers, or virtual asset businesses.
  • Strong understanding of ADGM regulatory requirements, including Market Infrastructure Rules and financial market infrastructure risk principles.
  • Experience overseeing market, clearing, settlement, liquidity, collateral, or operational resilience risk frameworks.
  • Experience engaging with regulators, Boards, and senior stakeholders.
  • Strong analytical, communication, and stakeholder management skills.
Profile
  • Strategic thinker with strong commercial judgement and sound risk management expertise.
  • Able to provide independent challenge while balancing innovation, growth, and market integrity.
  • Demonstrates high integrity, accountability, and professionalism.
  • Comfortable operating within a highly regulated and systemically important environment.
  • Passion for financial markets, digital assets, and emerging technologies.
  • Embraces…
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