We use cookies to enhance your experience on our website. Please read and confirm your agreement to our Privacy Policy and Terms and Conditions before continue to browse our website.
We are looking to hire for one of our ecosystem projects. Our client, a leading digital assets ecosystem globally, is in search of a Financial Risk Control Product Manager.
In This Role, You Will
Responsible for the design and optimization of the underlying financial rules of the trading system, including but not limited to index price mechanism, mark price mechanism, funding mechanism, forced liquidation, insurance fund management, margin model, etc.
Formulate financial risk control SOP and manage various financial parameters.
Handle the risks of various financial scenarios, be able to identify market risks and user risks brought by the business, and provide corresponding solutions.
Demand analysis and product design.
You Might Thrive In This Role If You Have
Priority will be given to those with experience in underlying finance of exchanges and derivatives experience.
Priority will be given to those with experience in building back-end systems in the field of cryptocurrency or traditional finance.
Strong analytical, communication and teamwork skills.
All applications applied through our system will be delivered directly to the advertiser and privacy of personal data of the applicant will be ensured with security.