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Risk Quant Manager (Derivatives) (APAC / MENA)

Closing: Sep 15, 2022

This position has expired

Published: Sep 6, 2022 (23 days ago)

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Job Summary

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Job Requirements
  • Have a deep understanding of derivatives products i.e. futures and options and cryptocurrency industry.
  • Major in Mathematics, Financial Engineering, Finance, Physics and Data Sciences or other related STEM. Holder of FRM, CFA or other related certificates are preferred.
  • 3+ years of relevant experience in risk management, quantitative trading or research work within crypto derivatives industry.
  • Able to demonstrate good coding skills, familiar with big data processing and analysis such as Hive(SQL), Python and be able to build the quantitative model from large and complex datasets and good at data visualization.
  • Able to demonstrate strong quantitative, analytical and problem solving skills, and have ability to work flexibly and remotely in a challenging and constantly changing  environment.  
  • Able to deliver high quality work on tight deadlines and be comfortable working in constantly evolving crypto industry 
  • Be proactive, curious, self-driven and a fast learner. Have a strong duty of responsibility, good communication, writing and presentation skills. And a good team player.
  • Excellent command of written and spoken English, fluency in Chinese (Mandarin) is a plus, for communication with various stakeholders in the company. 
  • Working at Binance
    • Do something meaningful; Be a part of the future of finance technology and the no.1 company in the industry
    • Fast moving, challenging and unique business problems
    • International work environment and flat organisation
    • Great career development opportunities in a growing company
    • Possibility for relocation and international transfers mid-career
    • Competitive salary
    • Flexible working hours, Casual work attire


    Responsibilities
    Job Requirements
  • Have a deep understanding of derivatives products i.e. futures and options and cryptocurrency industry.
  • Major in Mathematics, Financial Engineering, Finance, Physics and Data Sciences or other related STEM. Holder of FRM, CFA or other related certificates are preferred.
  • 3+ years of relevant experience in risk management, quantitative trading or research work within crypto derivatives industry.
  • Able to demonstrate good coding skills, familiar with big data processing and analysis such as Hive(SQL), Python and be able to build the quantitative model from large and complex datasets and good at data visualization.
  • Able to demonstrate strong quantitative, analytical and problem solving skills, and have ability to work flexibly and remotely in a challenging and constantly changing  environment.  
  • Able to deliver high quality work on tight deadlines and be comfortable working in constantly evolving crypto industry 
  • Be proactive, curious, self-driven and a fast learner. Have a strong duty of responsibility, good communication, writing and presentation skills. And a good team player.
  • Excellent command of written and spoken English, fluency in Chinese (Mandarin) is a plus, for communication with various stakeholders in the company. 
  • Working at Binance
    • Do something meaningful; Be a part of the future of finance technology and the no.1 company in the industry
    • Fast moving, challenging and unique business problems
    • International work environment and flat organisation
    • Great career development opportunities in a growing company
    • Possibility for relocation and international transfers mid-career
    • Competitive salary
    • Flexible working hours, Casual work attire


    Responsibilities
  • Working in a fast growing risk management team under derivatives business unit.
  • Focus on the market risk, operational risk, liquidity risk, client portfolio/exposure, manipulative or disruptive trading practices and other risk areas.
  • Design, implement and improve risk framework and policy in line with organization risk strategy and market changes to prevent, eliminate and mitigate risks.
  • Conduct timely risk analysis on derivatives products through quantitative models and other statistical methods, including simulation mode, scenario analysis and stress tests to identify and monitor risks.
  • Identify existing and potential risk events that may cause serious loss to the exchange or clients and propose solutions to mitigate the risks.
  • Build and improve risk indicators for automated monitoring purposes including real time alerts, daily and weekly reports.
  • Collaborate with business, product and technical teams to improve products and features including index, liquidation, liquidity and trading rules  from time to time.
  • Responsible for overseeing all risk indicators and alerts and ensure appropriate actions are taken to resolve incidents or risk events.

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