Manager, Trading Credit Risk (Margin & Options)
Altruist · Dallas–Fort Worth, TX
📍 Dallas, TXvia greenhousePosted 2026-09-04
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About Altruist
Altruist is transforming the multi-trillion dollar wealth management industry by building an AI platform for wealth professionals. We partner with financial advisors nationwide, empowering them to grow, optimize time and resources, and deliver superior outcomes for their clients.
We're looking for exceptional talent to help us achieve our mission of making financial advice better, more affordable, and accessible to all. If you're passionate about challenging the status quo and want to do the most important work of your life, we'd love to meet you!
But first, our values
Kindness - Kindness doesn’t just equal niceness. We listen to understand. We embrace, and encourage healthy debate and diverse perspectives. We approach conflict openly, honestly, and respectfully.
Brilliance - Humility is the skill we’re most proud of and possessing a growth mindset is always top of mind. We take ownership in everything we touch; regularly using our unique superpowers to reach a common goal as a team. We succeed and fail as one.
Grit - When challenges arise, we stay laser focused on achieving our mission and finding a way forward, even when it’s hard. We are nimble and maintain a sense of urgency, swiftly adapting to change and overcoming obstacles.
The opportunity
Altruist is launching and scaling Margin and Options, two of the most risk-intensive capabilities at a modern custodian. We're hiring a Manager, Trading Credit Risk (Margin & Options) to own the credit and market risk framework that keeps these products safe: house margin requirements, stress testing, concentration and liquidity surveillance, and the escalation decisions that protect clients and the firm.
This role sits within the Trading & Brokerage Operations organization and reports to [reporting manager]. It is an individual contributor role, not a people leadership role. You will own the credit risk function end to end, write the playbook, and set the standard that a future team will run. It is built for someone who aspires to lead and wants to earn that seat by building the function first.
If you want to own the risk framework behind margin and options at a fast-growing custodian, with a clear path toward leadership, this role offers meaningful scope.
What you’ll do
As Manager, Trading Credit Risk (Margin & Options), you will be accountable for identifying, measuring, and acting on credit and market risk across margin and options accounts. You will also be a core builder: deeply embedded with Product and Engineering as risk controls are designed, tested, and launched.
Margin & Credit Risk Oversight
Own daily credit risk surveillance across margin accounts using Stream Credit Monitor (SCM) and Sterling Risk Monitor (SRM)
Design, calibrate, and maintain house margin requirements, including security-level and account-level add-ons
Monitor concentration, liquidity, and volatility risk and run stress scenarios on the book
Set and maintain collateral treatment across security types, including haircuts, liquidity tiers, and concentration limits for fixed income positions held as margin collateral
Approve margin requirement changes, extensions of time, and exception cases, and own the rationale behind each decision
Review debit balance trends and escalate accounts approaching liquidation thresholds
Direct the Trade Desk on liquidation decisions, sequencing, and timing when accounts must be brought back into compliance
Options Risk Oversight
Own expiration-day and in-the-money (ITM) risk reviews, including assignment and exercise exposure
Review and drive resolution of uncovered or at-risk options positions
Monitor OCC margin outputs (STANS), spread files, and specific deposits, partnering with Operations on mitigation
Assess the risk impact of proposed options level expansions and new strategies
Regulatory & Control Responsibilities
Ensure the risk framework complies with Regulation T, FINRA Rule 4210 (margin requirements), and FINRA Rule 2360 (options)
Define and monitor key risk indicators (KRIs) and produce recurring risk reporting for leadership
Lead root-cause analysis on credit events, near-misses, and control failures, and drive remediation
Maintain documentation and evidence supporting risk decisions for audits, exams, and regulatory reviews
Build & Scale
Partner with Product and Engineering to embed risk controls, alerts, and automation into the platform from day one
Reduce manual surveillance through better tooling, and identify where AI can improve exception triage, stress analysis, and risk documentation
Support product launches and future expansions, including higher options levels and expanded margin use cases
What you bring
We're seeking a credit risk specialist who combines quantitative rigor with practical broker-dealer judgment, and who wants to grow into leadership.
Experience & Expertise
5+ years of experience in credit risk, margin risk, or market risk at a broker-dealer, clearing firm, or custodian
Hands-on experience with margin methodologies, house requirements, stress testing, and concentration analysis
Strong working knowledge of options risk, including assignment/exercise exposure, expiration risk, and strategy-based margin
Demonstrated experience making and defending time-sensitive risk decisions
Technical & Regulatory Fluency
Strong knowledge of Regulation T, FINRA Rule 4210, and FINRA Rule 2360
Experience with platforms such as FIS Phase 3, Stream Credit Monitor (SCM), Sterling Risk Monitor (SRM), and OCC tools (ENCORE, STANS outputs)
Strong analytical skills; advanced Excel required and SQL or Python a plus
Strong documentation and audit readiness discipline
Licensing
FINRA Series 7 and Series 63 required
Series 4 (Registered Options Principal) required, or must be obtained within 90 days of employment
Series 57 a plus, or willingness to obtain
Series 24 a plus, and a natural next step give
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