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Manager, Product Financial Risk

United States, San Francisco 140000.00 - 185000.00 USD / Year · Job Posted January 31, 2026
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Job Description

As a Product Financial Risk Manager, you will be the primary financial risk partner embedded within Circle’s product development and launch process. You will work closely with Product Managers, Business Owners, and Treasury to ensure new products, features, and market expansions are designed, approved, and launched within Circle’s financial risk appetite, with risks clearly identified, measured, mitigated, and governed throughout the product lifecycle.

Job Responsibility

  • Embedded risk partnership - Work directly with Product Managers, business owners, and Finance partners as products are designed and built
  • Product and deal-level financial risk assessments - As the second line of defense, evaluate the financial risks associated with new products, features, deals, and market expansions
  • Risk Analytics and Monitoring - Partner with cross-functional teams and FRM counterparts to develop and use financial risk metrics, scenarios, and dashboards
  • Launch readiness and governance support - Ensure financial risks and mitigations are clearly documented before launch
  • Post-launch risk monitoring - Monitor product performance after launch, compare actual outcomes to original assumptions

Requirements

  • 7+ years of experience in product-adjacent financial risk roles in banking, trading, fintech
  • A passion for harnessing the power of digital currency and blockchain technology and services built on top of it
  • An innovative and creative mind looking to suggest new solutions to old problems
  • Proven experience working collaboratively and effectively with the ability to work with multiple stakeholders and internal teams
  • Experience and comfort working in an ever changing industry and the flexibility to quickly react to changing demands
  • Strong understanding of financial risks arising from complex financial products including credit, liquidity, market, and financial operations risk
  • Hands-on experience with risk analytics, counterparty due diligence, limit sizing, stress testing and scenario analysis
  • Familiar with risk capital and risk-adjusted return concept
  • Demonstrated ability to translate enterprise risk frameworks into product-level requirements and controls
  • Experience working closely with Product and Finance teams, influencing outcomes through analysis and partnership rather than authority
  • Familiarity with risk governance structures, such as risk registers, issue management, and the Three Lines of Defense
  • Strong written and verbal communication skills, with the ability to synthesize complex analysis into clear product and leadership-facing narratives

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