Sky.Money is building the financial backbone for the decentralized economy. As part of the broader Sky ecosystem, we enable safe, efficient, and scalable mechanisms for onboarding new forms of collateral and ensuring the long-term resilience of decentralized financial systems. Our work intersects DeFi, stablecoins, and governance at scale, and we are shaping how the next generation of financial infrastructure is secured.
The Role
We are looking for a DeFi Risk Analyst to join our team and play a central role in evaluating and monitoring risks across the DeFi ecosystem. Your focus will be on analyzing collateral types and protocols proposed for integration into Sky’s systems, assessing their viability, security, and risk profile. You will collaborate closely with treasury, engineering, and governance teams to design frameworks that ensure safe collateral onboarding and sustainable risk management.
Key Responsibilities
Conduct in-depth risk assessments of DeFi protocols (AMMs, lending markets, bridges, LSTs, etc.) being considered for collateral onboarding.
Analyze smart contract, liquidity, counterparty, and market risks across protocols and assets.
Develop and refine risk models and frameworks for evaluating new collateral types (on-chain and off-chain).
Collaborate with engineers and governance participants to present risk evaluations, dashboards, and scenario analyses.
Monitor the ongoing performance and risk exposure of existing collateral types.
Produce clear, data-driven reports and recommendations for governance and internal stakeholders.
Stay ahead of DeFi trends, exploits, and evolving risk practices, incorporating learnings into Sky’s risk frameworks.
3+ years of experience in **risk management, DeFi analysis, or financial research (traditional risk experience + DeFi exposure also welcome).Strong understanding of DeFi protocols and primitives: DEXs, lending markets, liquid staking, collateralized stablecoins, bridges.
Familiarity with smart contract risks (audits, known exploits, systemic vulnerabilities).
Proficiency with on-chain data analysis (e.g., Dune, Flipside, Nansen, or direct node/graph queries).
Strong quantitative and qualitative analysis skills, with the ability to translate findings into clear risk recommendations.
Excellent written and verbal communication skills for governance and internal reporting.
Nice to Have
Prior experience with MakerDAO, Aave, Compound, Lido, or similar governance processes.
Exposure to credit risk modeling, collateral haircuts, and liquidation frameworks.
Coding/scripting skills (Python, R, SQL, Rust/solidity familiarity for deeper protocol analysis).
Experience working in DAO environments or decentralized governance.
What We Offer
The opportunity to shape the risk management backbone of one of the largest decentralized financial systems.
A highly collaborative environment working with experts across risk, engineering, and governance.
Competitive compensation (salary + token incentives).
Remote-first culture with flexible working arrangements.