maraki

Senior Risk Manager

Senior Risk Manager with 15+ years of international experience across crypto banking, fintech, asset management, and SaaS. Skilled in building risk frameworks, navigating crypto regulations, and automating processes. Hands-on across market, credit, liquidity, and operational risk. Bridging traditional finance with digital assets in fast-paced environments.

Experience: 5 years

Yearly salary: $0

Hourly rate: $0

Nationality: 🇬🇷 Greece

Residency: 🇨🇭 Switzerland


Experience

PRODUCT MANAGER
Sentifi AG
2018 - 2021
Led the development of a crypto-native sentiment analysis product, working cross-functionally with a Vietnam-based engineering team to deliver real-time insights on digital assets across news, social media, and on-chain signals. Adapted working hours to align with the engineering team’s time zone, ensuring continuous collaboration, fast iteration cycles, and alignment with business priorities. Defined product requirements and data workflows for ingesting and analyzing crypto-relevant content, focusing on token-level sentiment signals to support traders, analysts, and PMs. Prioritized features based on user feedback and market needs, balancing accuracy, latency, and coverage across rapidly evolving token ecosystems.
HEAD PORTFOLIO & RISK ANALYTICS, RISK MANAGEMENT
Vontobel Asset Management AG
2017 - 2017
Enhanced portfolio managers’ toolkit with market risk monitoring tools and analytics. Developed scalable solutions, enhancing top managements’ portfolio oversight by 50%. Managed successfully a team of four.
HEAD DATA MANAGEMENT & PORTFOLIO ANALYTICS
Vontobel Asset Management AG
2015 - 2016
Mastered data processing improving completeness, quality and accuracy by 30% - 40%. Led projects on improving processes and data quality, automating 60% of the workflow. Managed successfully a team of three.
PRODUCT SPECIALIST, RELATIONSHIP AND ACCOUNT MANAGER
Bloomberg LP
2010 - 2015
Product ambassador for Bloomberg PORT, a multi-asset portfolio and risk analytics platform. Mastered market risk tools including various VaR models, stress testing, scenario analysis, and portfolio optimization across asset classes (equities, bonds, derivatives, funds). Consulted portfolio managers, private bankers, and senior executives on risk monitoring and performance analytics. Promoted advanced techniques for stress testing, portfolio construction, and asset allocation. Improved client workflows by over 50% and enhanced enterprise communication of investment analytics by 30%. Exceeded corporate goals by increasing user penetration within the Swiss market to 80%.
CORPORATE GOVERNANCE CONSULTANT
Nestor Advisors Ltd
2008 - 2010
Restructured governance frameworks for European and emerging market clients. Implemented optimal governance policies and management guidelines.
PERFORMANCE AND RISK ANALYST
UBS Wealth Management
2006 - 2008
Portfolio performance monitoring for 10,000+ portfolios monthly, quarterly, ad hoc. Testing and release of the new Performance and Reporting tool. Procedures for performance calculations improving reporting timeliness, accuracy and quality.
PERFORMANCE AND RISK ANALYST
State Street Global Advisors SSGA
2005 - 2006
Analyzed monthly, quarterly and ad-hoc fund performance.
MONEY MARKETS TRADE SUPPORT
State Street Global Advisors SSGA
2004 - 2005
Trading and settlement for MM products (REPOs, TDs, CDs, CPs, FRNs, etc).

Skills

crypto
product-manager
english