Bybit
FinTech
RiskControlExpert
Neural analysis suggests this role is
optimal for Mid+ candidates.
“Risk Control Expert at Bybit. Skills: Risk control, Quantitative modeling, On-chain monitoring. Deliver risk assessment reports. Develop mitigation plans”
Industry & Context.
Root cause analysis
What They're Looking For.
Must Have
5+ years IB
Nice to Have
FRM or equivalent, CFA or equivalent, Risk certifications, Finance certifications, Crypto wealth experience
What You'll Do.
Deliver risk assessment reports
Develop mitigation plans
Build risk monitoring models
Maintain risk monitoring models
Produce daily risk reports
Identify asset-liability mismatch risks
Set redemption limits
Set emergency pause rules
Monitor on-chain address behavior
Identify oracle manipulation risks
Identify flash loan attacks
Identify market manipulation risks
Audit smart contracts
How You'll Work.
Team & Collaboration
Collaborate with security team
Communication Scope
Written communication; Verbal communication
Full Job Description
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. Responsibilities Product Risk Identification deliver risk assessment reports and mitigation plans. Quantitative Risk Modeling Build and maintain risk monitoring models and early-warning indicators (VaR, stress testing, drawdown controls, liquidation thresholds, etc.); produce daily risk reports. Identify asset-liability mismatch risks in wealth products; set redemption limits, circuit breakers, and emergency pause rules. On-chain Data Monitoring Monitor on-chain address behavior (e.g., large fund movements, abnormal contract interactions) to identify potential oracle manipulation, flash loan attacks, or market manipulation risks. Collaborate with the security team on continuous risk auditing of smart contracts underlying yield pools. Incident Response proficient with on-chain analytics tools Proficient in on-chain a
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