Singapore, Singapore

Risk Product Manager - Derivatives (Market Risk/Operations) | Crypto | SH, SG, HK

 Job Description:

Key Responsibilities:

  • Design and develop risk control modules for financial derivatives products, including rule creation, parameter strategy adjustments, and performance optimization.
  • Interface with exchanges on spot, leverage, and derivatives products to conduct liquidity monitoring, quantitative analysis, and provide position management and trading execution strategies. Monitor and refine execution strategies to ensure trading efficiency and position safety, minimizing asset loss risks.
  • Collaborate closely with the development team to implement risk control algorithms, gather user feedback, and continuously improve the product experience.
  • Take full ownership of project planning and resource coordination, maintaining strong cross-functional communication and proactively managing risks and problem-solving throughout the project lifecycle.


Requirements:

  • Bachelors degree or higher with 5+ years of experience in risk or product roles related to derivatives trading.
  • Strong familiarity with derivatives trading mechanics and risk control systems, especially within exchanges, clearing houses, traditional brokers, or digital trading platforms.
  • Demonstrated ability to independently lead 0-to-1 risk control product design and delivery, with strategic and executional ownership.
  • Experience in position management, unified margin risk systems, or clearing risk control is highly preferred.
  • Solid understanding of algorithmic trading execution strategies is a plus.
  • Excellent analytical and logical reasoning skills, with a data-driven approach to decision-making.
  • Fluent in both Mandarin and English (spoken and written) essential for liaising with regional teams and stakeholders.
  Required Skills:

Operations