My client is a Global DeFi Exchange Platform and Investment Manager in the trading Industry. The Founder is a former Executive Director at I-Banks and the team consists of Ex-Wall Street professionals. They are actively seeking experienced Product/Risk managers to cope with their company expansion, handling all kinds of product launching and financial servicing projects.
Responsibilities:
- Drive the execution of all product lifecycle processes for products, including product research, market research, competitive analysis, planning, positioning, roadmap development, and product launch
- Handle cross-asset structuring with strengths, particularly in Rates/Credit spaces
- Analyze market data and competitors to develop trading strategies, and define product objectives for effective marketing communications plans
- Manage a complex portfolio of conventional interest rates risk, and understand the interaction among the credit/token market
- Design risk system, and be comfortable guiding engineers to implement risk metrics
Requirements
- Bachelor’s or Master’s degree in Computer Science/Financial Engineering/Maths/Statistics
- 6-10 years of experience working in Tier 1/2 Banks, Asset Management/Crypto
- CFA is a plus; Rates/Credit experience is preferred
- Knowledge of OOP, MySQL, Java, and Python/Node
- Ability to understand and assess engineering, design, and schedule tradeoffs
- A keen interest in crypto and blockchain innovations
- Good communication, experimental mindset, team-first attitude: motivated to work hard in a collaborative team
Highlight
- An extremely flexible hybrid work arrangements
- Stable environment, Low turnover rate, and mistake-welcome environment
- Super flat team structure; Fast-paced environment