The opportunity
Ready to do the most impactful work of your career? At Coinbase , we are uncompromising on our mission to increase economic freedom.
What you'll do
Underwrite institutional counterparties, including hedge funds, asset: managers, corporates, market makers, and banking and payment providers, recommending internal credit ratings and risk-based limits with written substantiation.
Monitor trading and bank partner exposures on an ongoing basis, conducting: periodic portfolio reviews and flagging concentration risks or emerging trends to leadership.
Analyze asset volatility and liquidity risks on a per-asset and portfolio: basis to support lending and trading product decisions.
Collaborate with product, sales, operations, and legal teams to resolve: client or product challenges and deliver risk-informed solutions.
Research industry trends, regulatory developments, and crypto market dynamics: to contribute to the team's thought leadership and continuous improvement.
Currently pursuing a bachelor's or master's degree in finance, economics,: mathematics, or a related quantitative discipline with an expected graduation date of December 2027 or later.
What they're looking for
- Demonstrated interest in financial and capital markets, with coursework or: projects involving credit analysis, financial statement interpretation, or portfolio risk concepts.
- Proficiency in Excel or Google Sheets for quantitative analysis, including: modeling, scenario analysis, or data summarization.
- Familiarity with the crypto economy or digital assets, or a demonstrated: ability to rapidly learn new financial product domains.
- Utilizes generative AI responsibly, maintaining human oversight to deliver: business-ready outputs and drive measurable improvements in workflow efficiency, cost, and quality