Financial Risk Manager
Kelola risiko keuangan dan pengujian stres untuk Alpaca
Anda akan mengembangkan dan menjalankan program pemantauan risiko likuiditas dan pengujian stres di Alpaca. Kerja sama dengan Head of Treasury dan tim lain untuk memastikan pengelolaan likuiditas yang sehat dan menghasilkan analisis yang ketat di berbagai kondisi. Alpaca adalah perusahaan brokerage global yang berfokus pada infrastruktur agent-first untuk berbagai instrumen keuangan.
Kenapa Menarik?
Dapatkan USD $500 untuk setup home-office dan stipend bulanan USD $150 melalui Brex Card.
Tanggung Jawab Utama
- Mengembangkan program pemantauan risiko likuiditas
- Melakukan pengujian stres di berbagai kondisi bisnis
- Bekerja sama dengan Head of Treasury untuk pengelolaan likuiditas
- Membuat analisis yang ketat untuk pengambilan keputusan
- Mengembangkan infrastruktur likuiditas Alpaca
Persyaratan
- Pengalaman dalam manajemen risiko keuangan
- Kemampuan analisis yang kuat
- Pengalaman dalam Treasury dan Finance
- Kemampuan bekerja dengan tim lintas fungsi
- Pengalaman dalam pengujian stres dan pemantauan risiko
Skills Wajib
Konteks Indonesia
- Overlap Jam Kerja:
- Fleksibel — atur jam kerjamu sendiri
Lihat Deskripsi Asli dari Greenhouse BoardsTampilkan selengkapnya
Deskripsi asli dari Greenhouse Boards
<div class="content-intro"><p><strong>Who We Are:</strong></p> <p><strong>Alpaca is a US-headquartered, global leader in agent-first brokerage infrastructure </strong>for stocks, ETFs, options, crypto, fixed income, 24/5 trading, and more.<br><br>Amongst our subsidiaries, Alpaca is a licensed financial services company, serving hundreds of financial institutions across 40 countries with our institutional-grade APIs. This includes broker-dealers, investment advisors, wealth managers, hedge funds, and crypto exchanges, totalling over 10 million brokerage accounts.<br><br>Our global team is a diverse group of experienced engineers, traders, and brokerage professionals who are working to achieve our mission of opening financial services to everyone on the planet. We're deeply committed to open-source contributions and fostering a vibrant community, continuously enhancing our award-winning, developer-friendly API and the robust infrastructure behind it.<br><br><strong>Alpaca is proudly backed by $400 million in funding from top-tier global investors including Portage Ventures, Spark Capital, Tribe Capital, Social Leverage, Horizons Ventures, Opera Tech Ventures, SBI Group, Derayah Financial, Unbound, Peak XV, Elefund, and Y Combinator.</strong><br><br><strong>Our Team Members:</strong></p> <p>We're a dynamic team of 400+ globally distributed members who thrive working from our favorite places around the world, with teammates spanning the USA, Canada, Japan, Hungary, Nigeria, Brazil, the UK, and beyond!<br><br>We're searching for passionate individuals eager to contribute to Alpaca's rapid growth. If you align with our core values—Stay Curious, Have Empathy, and Be Accountable—and are ready to make a significant impact, we encourage you to apply.</p></div><p><strong>Your Role:</strong></p> <p>Alpaca is growing its Treasury function as we scale our product suite, global footprint, and self-clearing operations. We are looking for a Financial Risk Manager to support the development and day-to-day execution of Alpaca's liquidity risk monitoring and stress testing program.</p> <p>This is a hands-on, analytical role for someone who wants broad exposure across Treasury, Finance, Operations, and Risk. You will work closely with the Head of Treasury and partner cross functionally to help maintain sound liquidity governance and produce rigorous analysis under both business-as-usual and stressed conditions. This role is responsible for building out Alpaca's liquidity risk infrastructure from the ground up. You will establish daily liquidity reporting, streamline data pipelines, implement intraday monitoring and stress testing capabilities, develop longer-term and Monte Carlo-based stress testing frameworks, and build the alerting and controls needed to support Treasury decision-making as Alpaca launches new products and expands into new markets.</p> <p>While the title reflects managerial scope over liquidity risk and stress testing workstreams, this is primarily an individual contributor role with opportunity to grow into broader leadership as the function matures.</p> <p><strong>What You'll Do:<br><br>Key Priorities</strong></p> <ul> <li>This role will be responsible for building out the following core capabilities:</li> <li>Daily liquidity reporting and streamlined data pipelines</li> <li>Intraday liquidity monitoring</li> <li>Intraday stress testing</li> <li>Longer-term stress testing</li> <li>Monte Carlo simulations for stress testing</li> <li>Alerting frameworks and other necessary controls</li> <li>Daily Liquidity Reporting & Data Pipelines</li> <li>Build and own daily liquidity reporting, ensuring timely, accurate views of firm liquidity positions across products and legal entities</li> <li>Design and streamline data pipelines connecting Treasury, Finance, Operations, and clearing/settlement systems to reduce manual effort and improve data quality</li> <li>Help maintain broker-dealer liquidity reporting related to SEC Rule 15c3-1 (Net Capital), SEC Rule 15c3-3 (Customer Reserve), and related FINRA/SEC requirements</li> <li>Partner with Engineering and Data teams to automate reporting workflows using SQL, Python, and BI platforms</li> </ul> <p><strong>Intraday Monitoring</strong></p> <ul> <li>Build and maintain real-time and intraday liquidity monitoring capabilities to track cash positions, settlement flows, margin movements, and funding needs throughout the day</li> <li>Establish intraday liquidity metrics, limits, and early warning indicators (EWIs); investigate breaches and prepare escalation materials for Treasury leadership</li> <li>Support same-day funding and treasury operations decisions with timely liquidity analysis during market hours</li> </ul> <p><strong>Intraday Stress Testing</strong></p> <ul> <li>Develop and implement intraday stress testing capabilities to assess the impact of sudden market moves, margin calls, settlement disruptions, and customer activity spikes on firm liquidity</li> <li>Run and refine intraday stress scenarios in coordination with Treasury Operations and Risk teams</li> <li>Ensure intraday stress results are actionable for real-time decision-making</li> </ul> <p><strong>Longer-Term Stress Testing</strong></p> <ul> <li>Build out the firm's longer-term stress testing program, including scenario design, assumption documentation, model runs, and results reporting</li> <li>Develop and update stress scenarios — including market-wide and tail-risk events — to assess impacts on net capital, customer reserve, firm liquidity, and settlement flows across multiple time horizons</li> <li>Participate in integrated stress exercises with Market Risk, Credit Risk, and Operational Risk teams and help synthesize results for Treasury and Risk stakeholders</li> <li>Review and challenge assumptions used in stress models; flag areas requiring further review or remediation</li> </ul> <p><strong>Monte Carlo Simulations</strong></p> <ul> <li>Build and maintain Monte Carlo simulation models to complement deterministic stress testing and better capture the distribution of potential liquidity outcomes under adverse conditions</li> <li>Calibrate simulation inputs, validate model outputs, and incorporate results into Treasury liquidity planning and risk limit setting</li> </ul> <p><strong>Alerting & Controls</strong></p> <ul> <li>Design and implement alerting frameworks to notify Treasury leadership of limit breaches, deteriorating liquidity metrics, and stress test threshold breaches</li> <li>Build out the controls infrastructure necessary to support liquidity risk governance, including escalation protocols, documentation standards, and audit trails</li> <li>Prepare analysis and documentation for regulatory examinations, internal audits, and management reporting; coordinate with the Risk team as needed</li> </ul> <p><strong>Cross-Functional Support</strong></p> <ul> <li>Provide liquidity risk input in the New Product Approval (NPA) process, identifying potential funding and liquidity considerations for new asset classes, leveraged products, and international expansion</li> <li>Partner with Engineering, Product, and Operations to help stress-test margin engines, settlement workflows, and treasury systems</li> <li>Contribute to ERM deliverables such as the Risk Register and Key Risk Indicators (KRIs) in coordination with the CRO and Risk team</li> <li>Help document policies, procedures, and methodologies as the Treasury function scales</li> <li>Stay current on regulatory developments, industry stress events, and emerging liquidity risks in fintech and digital asset markets</li> </ul> <p><strong>Who You Are (Must-Haves):</strong></p> <ul> <li>2-4 years experience in liquidity risk, treasury, financial risk, middle office, or balance sheet analytics within a broker-dealer, bank, or fintech environment</li> <li>Solid understanding of broker-dealer liquidity and capital requirements, including SEC Rules 15c3-1 and 15c3-3</li> <li>Hands-on experience building or supporting liquidity reporting, data pipelines, and stress testing programs</li> <li>Experience with intraday liquidity monitoring, stress testing, or real-time risk reporting</li> <li>Familiarity with Monte Carlo simulation techniques or probabilistic risk modeling</li> <li>Familiarity with Treasury operations, cash management, and funding workflows in a regulated environment</li> <li>Working knowledge of risk governance concepts and how Treasury and Risk functions interact in a broker-dealer setting</li> <li>Proficiency in SQL and Python (or similar) for data analysis, pipeline development, reporting automation, and working with large datasets</li> <li>Strong attention to detail and ability to produce clear, well-structured analysis for senior stakeholders</li> <li>Comfortable working cross-functionally in a fast-paced, remote-first startup environment</li> </ul> <p><strong>Who You Might Be (Nice-to-Haves):</strong></p> <ul> <li>Experience at a self-clearing broker-dealer or carrying/clearing firm</li> <li>Experience building alerting, monitoring, or controls frameworks from scratch</li> <li>Exposure to SPAN, TIMS, or margin methodologies and their liquidity implications</li> <li>Familiarity with crypto/digital asset liquidity risk or 24/5 trading environments</li> <li>Experience supporting SEC/FINRA examinations or internal audit requests</li> <li>Knowledge of international regulatory frameworks across Alpaca's global subsidiaries</li> <li>FRM, CFA, or similar certification (or in progress)</li> <li>Prior experience in a high-growth fintech where processes and frameworks are still being built</li> </ul><div class="content-conclusion"><h3><strong>How We Take Care of You:</strong></h3> <ul> <li style="font-weight: 400; text-align: justify;"><span style="font-weight: 400;">Competitive Salary & Stock Options</span></li> <li style="text-align: justify;">Health Benefits</li> <li style="font-weight: 400; text-align: justify;"><span style="font-weight: 400;">New Hire Home-Office Setup: One-time USD $500</span></li> <li style="font-weight: 400; text-align: justify;"><span style="font-weight: 400;">Monthly Stipend: USD $150 per month via a Brex Card</span></li> </ul> <p><em><span style="font-weight: 400;">Alpaca is proud to be an equal opportunity workplace dedicated to pursuing and hiring a diverse workforce.<br></span></em></p> <p><span style="font-size: 8pt;"><a href="https://files.alpaca.markets/disclosures/AlpacaRecruitmentPrivacyPolicy.pdf"><em><span style="font-weight: 400;">Recruitment Privacy Policy</span></em></a></span></p></div>
Konteks Gaji
Posisi Data & Analytics serupa di LokerDollar dibayar sekitar $200k/yr (kisaran $39.5k–340k/yr, dari 143 listing aktif).
Perekrutan di Alpaca
Alpaca punya 17 lowongan aktif lain di LokerDollar dan telah merekrut di sini sejak 25 Jul 2026 — di kategori Data & Analytics, Engineering, Product.
Lihat semua lowongan Alpaca →Konteks pasar
- TIDAK DIKETAHUIListing ini tidak mencantumkan gaji. Median peran serupa $200,000/tahun (n=143 listing bergaji).
- TERVERIFIKASIAlpaca: 22 lowongan dalam 3 bulan terakhir, 22 sepanjang waktu di LokerDollar.
- TERVERIFIKASIPerusahaan pertama kali terlihat 25 Jul 2026.
- TERVERIFIKASILowongan ini pertama kali terlihat 29 Sep 2026.
- TERVERIFIKASITerakhir diverifikasi masih aktif 29 Sep 2026.
Pemberi kerja tidak menyatakan keterbukaan lokasi — cek langsung lowongannya
Pertanyaan yang sering diajukan
- Apakah Financial Risk Manager di Alpaca bisa dikerjakan remote?
- Ya, Financial Risk Manager di Alpaca bisa dikerjakan remote, tetapi perusahaan tidak menyebutkan negara mana saja yang boleh melamar. Cek deskripsi lowongan sebelum melamar.
- Jenis pekerjaan apa Financial Risk Manager di Alpaca?
- Posisi ini adalah pekerjaan full time.
- Bagaimana cara melamar?
- Klik tombol "Lamar" pada halaman ini untuk menuju halaman aplikasi resmi Alpaca.
Jelajahi lebih lanjut
Data & laporan pasar
Riset gaji & permintaan skill dari data lowongan kami sendiri.
- Lowongan IT Indonesia vs Remote Global (2026)Analisis data primer 2.049 lowongan: metodologi, klasifikasi, dataset bisa diunduh.
- Permintaan Skill AI: Indonesia vs Global (2026)10.000+ lowongan, classifier taxonomy-first, Wilson CI, pra-registrasi sebelum analisis.
- Remote ≠ Remote: Skill yang Membuka Kerja Global untuk Indonesia (2026)12.891 lowongan remote: skill coding bergaji tertinggi justru paling terkunci untuk pelamar Indonesia. Dataset agregat CC BY 4.0.
- Lapisan Kepatuhan dalam AI Hiring Stack (2026)6.349 lowongan remote: 77,2% tidak menyebut siapa yang boleh melamar. Metodologi dan dataset agregat CC BY 4.0.
- Laporan Hiring Indonesia: Tech vs Non-TechPermintaan lowongan per bidang dari hitungan agregat — bukan listing per-listing.
- Benchmark Gaji IndonesiaKisaran gaji agregat lintas peran, dengan metodologi dan dataset terbuka.
- Indeks Gaji & Permintaan Kerja Remote untuk IndonesiaBerapa banyak lowongan remote global yang terbuka untuk Indonesia, dan gajinya (USD) per bidang.
- Laporan Kuartalan Pasar Kerja IndonesiaPHK, pendanaan, gaji & skill per kuartal — agregat terbuka.
- Laporan Pasar Remote per PeranLaporan otomatis per kelompok peran — skill, senioritas, perusahaan, gaji.
- Benchmark Gaji Remote GlobalGaji tahunan per bidang & mata uang, plus porsi lowongan terbuka untuk seluruh dunia.
Dari blog kami
- Gaji Remote Developer di Tengah Ketidakpastian RupiahAnalisis pasar kerja remote global per September 2026 dengan data 5,133 lowongan aktif dan tren skill yang dicari perusahaan.
- Kesalahan Umum Kerja Remote Gaji DollarHindari 7 kesalahan umum saat cari kerja remote gaji dollar biar aplikasi lo gak langsung masuk trash.
- Update Loker Remote USD: Data Pasar September 2026Analisis data 5,119 lowongan remote USD per September 2026, mencakup tren skill AI, gaji median, dan realita budaya kerja async.