Operations Risk Analyst

Reposted 14 Days Ago
2 Locations
In-Office or Remote
100K-140K Annually
Junior
Fintech • Payments • Financial Services
Kalshi lets you trade on news, sports & more. Fully regulated and live in the USA.
The Role
What We're Up To

Kalshi has defined a new category: prediction markets. Kalshi allows people to trade on the outcome of any events and turn any question about the future into a financial asset. Kalshi fought for years and legalized prediction markets in the US for the first time in history. Kalshi is currently the fastest growing financial market in America, and has over 1,900 markets across politics, economics, financials, weather, tech, AI, culture and more.

We believe prediction markets have the potential to be the largest financial market because they turn anything into a financial position. 

  • Our vision: well… build the largest financial market on the planet. 
  • Our mission: bring more truth to the world through the power of markets. 

Building a new category is hard… like, really hard. But it’s beautiful and deeply fulfilling. Our culture is simple: we hire really talented people, work really hard, and enjoy the climb. We are looking for ambitious and exceptional people to join our (relatively small) team to help us build the next generation of financial markets.

Role Roadmap

As an Operations Risk Analyst, you’ll help ensure the stability and integrity of Kalshi’s markets by contributing to post-trade processing and managing operational risk across our exchange. You’ll monitor trading activity around the clock, safeguard customer positions, and serve as the first point of contact for clients and clearing members experiencing operational issues. You’ll play a key role in protecting participants, minimizing risk, and shaping the systems that power Kalshi’s next generation of markets.

What You'll Do
  • Oversee daily trade and clearing operations across Kalshi’s current and new markets, ensuring accuracy, timeliness, and compliance
  • Continuously monitor risk exposure, system performance, and operational controls; swiftly escalate and collaborate with engineering and risk teams to
    address and remediate issues
  • Identify operational risks proactively and contribute to the development and refinement of automated monitoring and exception-handling systems
  • Lead or participate in incident response, root-cause analyses, and post-mortems, ensuring actionable outcomes and continuous operational improvements
  • Partner cross-functionally with other teams to drive continuous improvement in risk management processes, documentation, and governance, enhancing
    Kalshi’s operational resilience and compliance posture
  • Support new clearing and risk initiatives aligned with Kalshi’s growth strategy and expansion into new markets and trading products
What You Bring
  • Bachelor’s or Master’s degree in Finance, Economics, or a related field
  • Familiarity with clearing processes and operational risk management best practices
  • 1-2 years of experience in listed derivatives, repo, treasury, or OTC markets, ideally at a clearing house, trading firm, an exchange or a FCM
  • Strong analytical capabilities and technical proficiency, including advanced Excel/Google
  • Sheets skills (pivot tables, VLOOKUPs, macros) and a basic understanding of financial technology systems
  • Excellent written and verbal communication skills; capable of working effectively across technical and non-technical teams
  • Detail-oriented mindset with the ability to balance daily operational rigor and long-term risk strategy
  • Bonus: Experience working with clearing or exchange systems in a regulated environment
  • Bonus: Interest in financial innovation, derivatives, and the future of event-based trading
Our Culture

Meritocracy is at our core, and we value people who take ownership and figure (usually hard) things out. We dream big. We love our craft deeply and are proud of what we put out in the world. We are committed to our vision of building something big… but also useful: a product that brings more truth through the power of markets.

Kalshians are Kalshi’s most important asset: we pick Kalshians carefully, so we trust them fully on day 1.

NYC Pay Transparency Disclosure:

Salary Range: $100,000 to $140,000 annually plus equity and benefits.
This salary range is based on the current available market data, and represents the expected salary range for this role. Kalshi has minimal hierarchy and few titles, but has broad ranges of experience represented within roles. Should you have compensation expectations that exceed these bands, we'd love to hear from you and would welcome you to reach out to further discuss.

Commitment to Equal Opportunity

Kalshi is committed to creating a culture of inclusion and belonging, and we are proud to be an equal opportunity employer. We believe it is our collective responsibility to uphold these values and encourage candidates from all backgrounds to join us in our mission. All qualified applicants will be treated with respect and receive equal consideration for employment without regard to race, color, creed, religion, sex, gender identity, sexual orientation, national origin, disability, uniform service, veteran status, age, or any other protected characteristic per federal, state, or local law. If you are passionate about what you do and want to use your talents to support our mission and values, we’d love to hear from you.

Skills Required

  • Bachelor's or Master's degree in Finance, Economics, or a related field
  • Familiarity with clearing processes and operational risk management best practices
  • 1-2 years of experience in listed derivatives, repo, treasury, or OTC markets
  • Strong analytical capabilities and technical proficiency in Excel and Google Sheets
  • Excellent written and verbal communication skills
  • Detail-oriented mindset with the ability to balance operational rigor and risk strategy
  • Experience working with clearing or exchange systems in a regulated environment
  • Interest in financial innovation, derivatives, and future of event-based trading

Kalshi Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about Kalshi and has not been reviewed or approved by Kalshi.

  • Fair & Transparent Compensation Pay is considered competitive with clear salary bands shared in postings, signaling consistent expectations and fairness. Employer materials consistently frame offers as salary plus equity and benefits across roles.
  • Equity Value & Accessibility Equity is a standard component across roles, positioning ownership as a meaningful part of total compensation. This structure emphasizes long‑term upside as part of the rewards package.
  • Wellbeing & Lifestyle Benefits Everyday perks such as free in‑office meals and regular team get‑togethers support culture and connection. A stated remote program and hybrid options introduce some flexibility in how work is done.

Kalshi Insights

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The Company
HQ: New York, NY
203 Employees
Year Founded: 2019

What We Do

Kalshi is the largest legal prediction market in the U.S., enabling traders to buy and sell contracts on the outcome of real-world events- from interest rate decisions and inflation numbers to whether a bill passes Congress or a major company CEO steps down. Approved by the CFTC, Kalshi created a new asset class called event contracts, which allow market participants to hedge against uncertainty or capitalize on upcoming events with economic impact. It's the first platform to bring this level of legitimacy and accessibility to the prediction market space. Backed by Sequoia, Y Combinator, Charles Schwab, and Henry Kravis, Kalshi is bridging the gap between traditional finance and real-world speculation. Kalshi markets are now available on Robinhood and Webull, making event trading more accessible than ever.

Why Work With Us

Mission-driven: Kalshi is building the next frontier of financial markets prediction markets. Massive opportunity: Prediction markets are a multi-trillion-dollar asset class. Regulatory advantage: We are the first and largest federally regulated prediction market. High-impact environment: Every team member has direct ownership.

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