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

Apply

or

max file size 6 mb.

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

Apply

or

max file size 6 mb.

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

Apply

or

max file size 6 mb.