Treasury & Risk Product Lead
⚲ Dubai
About the Role
As a Treasury & Risk Product Lead, you will join our Technical Product team and help shape the architecture of capital allocation and real-time risk control across global crypto venues. You will own key parts of the capital-to-execution pipeline, including:
Design and own the capital structure across exchanges, custody providers, and on-chain venues
Define asset allocation logic across CEX/DEX, margin modes, leverage layers
Specify a real-time balance optimizer across venues
Lead integration of external custody and counterparty frameworks
Define exchange exposure limits and capital efficiency metrics
Design the core risk taxonomy for a crypto environment (market, liquidity, leverage, counterparty, infra, model risk)
Translate risk controls into system requirements for a real-time risk engine
Specify pre-trade, intraday, and post-trade controls
Define liquidation protection and stress scenarios
Build monitoring dashboards for trading, exposure, funding, and capital efficiency
Work closely with quant researchers, trading engineers, and infrastructure teams
Own the product roadmap for treasury and risk systems
Ensure capital survivability during extreme market events
This role starts as architecture and product ownership. Over time, you may build and lead a dedicated risk and treasury function.
About the Team
42 is an AI research lab building autonomous trading systems for complex, non-stationary markets. Our research arm develops adaptive foundational models for forecasting and decision-making; our trading arm deploys them live in global crypto markets.
We operate as an agentic trading fund: strategies are machine-driven, infrastructure is proprietary, and markets serve as a real-world stress test for our research.
The team includes AI researchers, low-latency engineers, and trading infrastructure specialists working across Europe and Canada. We design systems end-to-end — from modeling to execution to capital management.
We are building the next layer: a capital and risk architecture that matches the sophistication of our models.
You might thrive in this role if you have
Experience in crypto market making, prop trading
Deep understanding of exchange microstructure, margin systems, funding mechanics
Experience managing capital across multiple venues
Strong grasp of real-time market risk, leverage dynamics, and liquidity constraints
Experience designing or specifying risk systems or trading infrastructure
Ability to think in systems: capital, exposure, latency, counterparty, infrastructure
Comfortable translating trading risk into engineering requirements
Analytical mindset (quant background is a strong plus)
Experience navigating high-volatility market events
Strong plus:
Experience through 2021–2023 crypto cycles
Experience with exchange defaults or withdrawal freezes
Prior ownership of capital allocation or risk infrastructure
Treasury & Risk Product Lead
⚲ Dubai
About the Role
As a Treasury & Risk Product Lead, you will join our Technical Product team and help shape the architecture of capital allocation and real-time risk control across global crypto venues. You will own key parts of the capital-to-execution pipeline, including:
Design and own the capital structure across exchanges, custody providers, and on-chain venues
Define asset allocation logic across CEX/DEX, margin modes, leverage layers
Specify a real-time balance optimizer across venues
Lead integration of external custody and counterparty frameworks
Define exchange exposure limits and capital efficiency metrics
Design the core risk taxonomy for a crypto environment (market, liquidity, leverage, counterparty, infra, model risk)
Translate risk controls into system requirements for a real-time risk engine
Specify pre-trade, intraday, and post-trade controls
Define liquidation protection and stress scenarios
Build monitoring dashboards for trading, exposure, funding, and capital efficiency
Work closely with quant researchers, trading engineers, and infrastructure teams
Own the product roadmap for treasury and risk systems
Ensure capital survivability during extreme market events
This role starts as architecture and product ownership. Over time, you may build and lead a dedicated risk and treasury function.
About the Team
42 is an AI research lab building autonomous trading systems for complex, non-stationary markets. Our research arm develops adaptive foundational models for forecasting and decision-making; our trading arm deploys them live in global crypto markets.
We operate as an agentic trading fund: strategies are machine-driven, infrastructure is proprietary, and markets serve as a real-world stress test for our research.
The team includes AI researchers, low-latency engineers, and trading infrastructure specialists working across Europe and Canada. We design systems end-to-end — from modeling to execution to capital management.
We are building the next layer: a capital and risk architecture that matches the sophistication of our models.
You might thrive in this role if you have
Experience in crypto market making, prop trading
Deep understanding of exchange microstructure, margin systems, funding mechanics
Experience managing capital across multiple venues
Strong grasp of real-time market risk, leverage dynamics, and liquidity constraints
Experience designing or specifying risk systems or trading infrastructure
Ability to think in systems: capital, exposure, latency, counterparty, infrastructure
Comfortable translating trading risk into engineering requirements
Analytical mindset (quant background is a strong plus)
Experience navigating high-volatility market events
Strong plus:
Experience through 2021–2023 crypto cycles
Experience with exchange defaults or withdrawal freezes
Prior ownership of capital allocation or risk infrastructure
Treasury & Risk Product Lead
⚲ Dubai
About the Role
As a Treasury & Risk Product Lead, you will join our Technical Product team and help shape the architecture of capital allocation and real-time risk control across global crypto venues. You will own key parts of the capital-to-execution pipeline, including:
Design and own the capital structure across exchanges, custody providers, and on-chain venues
Define asset allocation logic across CEX/DEX, margin modes, leverage layers
Specify a real-time balance optimizer across venues
Lead integration of external custody and counterparty frameworks
Define exchange exposure limits and capital efficiency metrics
Design the core risk taxonomy for a crypto environment (market, liquidity, leverage, counterparty, infra, model risk)
Translate risk controls into system requirements for a real-time risk engine
Specify pre-trade, intraday, and post-trade controls
Define liquidation protection and stress scenarios
Build monitoring dashboards for trading, exposure, funding, and capital efficiency
Work closely with quant researchers, trading engineers, and infrastructure teams
Own the product roadmap for treasury and risk systems
Ensure capital survivability during extreme market events
This role starts as architecture and product ownership. Over time, you may build and lead a dedicated risk and treasury function.
About the Team
42 is an AI research lab building autonomous trading systems for complex, non-stationary markets. Our research arm develops adaptive foundational models for forecasting and decision-making; our trading arm deploys them live in global crypto markets.
We operate as an agentic trading fund: strategies are machine-driven, infrastructure is proprietary, and markets serve as a real-world stress test for our research.
The team includes AI researchers, low-latency engineers, and trading infrastructure specialists working across Europe and Canada. We design systems end-to-end — from modeling to execution to capital management.
We are building the next layer: a capital and risk architecture that matches the sophistication of our models.
You might thrive in this role if you have
Experience in crypto market making, prop trading
Deep understanding of exchange microstructure, margin systems, funding mechanics
Experience managing capital across multiple venues
Strong grasp of real-time market risk, leverage dynamics, and liquidity constraints
Experience designing or specifying risk systems or trading infrastructure
Ability to think in systems: capital, exposure, latency, counterparty, infrastructure
Comfortable translating trading risk into engineering requirements
Analytical mindset (quant background is a strong plus)
Experience navigating high-volatility market events
Strong plus:
Experience through 2021–2023 crypto cycles
Experience with exchange defaults or withdrawal freezes
Prior ownership of capital allocation or risk infrastructure

