Bitget
About us Bitget is one of the world's leading digital assets ecosystems.
With over 120 million registered users, Bitget has one of the most comprehensive suites of blockchain products and services available via bitget.com.
Our mission is to support the growth of the digital assets industry and we believe it represents the future of finance.
What we do empowers the future of finance by ensuring secure, efficient and smart digital transactions.
We are one of the fastest growing companies in the digital asset sector.
If you are looking for cutting-edge work, where you will have opportunities to develop your career among peers who are experts in their field, and you believe in the future of digital currency, then look no further than Bitget!
What you'll do Strategy and Parameter Governance - Responsible for the risk strategies and parameter framework for the primary and secondary markets and derivatives (spot, perpetual/futures, options, structured products): limit/guarantee stratification, price bands/fail-safe mechanisms, product amount leverage, upper limits, etc. - Based on indicators such as funding rates, basis, volatility surfaces, positions and depth, formulate thresholds and dynamic parameter adjustment plans Data Analysis and Model
- Convert business/risk control assumptions into data, strategies, and assessable quantitative solutions - Conduct event studies and stress scenario analyses, and form strategy reviews and improvements - Can interface with the algorithm team to propose corresponding models, sample definition requirements Monitoring and Experiments - Build risk dashboards and early warning systems - Design and implement strategy experiments and gradual rollouts What you'll need - Bachelor's degree or above (in Finance Engineering, Mathematics, Statistics, Computer Science, etc.), with at least 5 years of experience in derivatives strategies, quantitative research, risk products or crypto trading - Deep understanding of the structure and micro-mechanisms of the crypto market: CEX/DEX/AMM/CLMM, perpetual funding rates and basis, options market and volatility surfaces, clearing/margin mechanisms/ADL - Proficient in data and evaluation skills: SQL, Python, visualization and reporting (Tableau/Metabase/Looker), capable of independently conducting data exploration, causal/incremental evaluation and backtesting - Possess the ability to establish an indicator system and governance, able to abstract business problems into quantifiable goals and constraints, and consolidate strategy SOPs and emergency plans - Excellent cross-team communication and project management skills, result-oriented 岗位职责: 策略与参数治理 - 负责一/二级市场及衍生品(现货、永续/期货、期权、结构化)的风险策略与参数框架:限额/保证金分层、价格带/熔断、产品金额杠杆、上限等 - 基于资金费率、基差、波动率曲面、持仓与深度等指标制定阈值与动态调参方案 数据分析与模型需求 - 将业务/风控假设转化为数据、策略、以及可评估的量化方案 - 进行事件研究与压力场景分析,形成策略复盘与改进 - 可以与算法团队对接,提出相应的模型、样本定义需求 监控与实验 - 搭建风险看板与预警体系 - 设计并推进策略实验与灰度收起 任职要求: - 本科及以上(金融工程/数学/统计/计算机等),5年以上衍生品策略、量化研究、风险产品或加密交易相关经验 - 深刻理解加密市场结构与微观机制:CEX/DEX/AMM/CLMM、永续资金费率与基差、期权市场与波动率曲面、清算/保证金机制/ADL – 熟练的数据与评估能力:SQL、Python、可视化与报表(Tableau/Metabase/Looker),能独立完成数据探索、因果/增量评估与回测 - 具备指标体系与口径治理能力,能将业务问题抽象为可量化目标与约束,并沉淀策略SOP与应急预案 - 良好的跨团队沟通与项目管理能力,结果导向 Why Bitget?
Bitget is the world's leading web 3 platform for copy trading and one of the world's largest and most respected exchanges We are a global company with staff members from over 50 different countries and regions We are growing and looking for world-class ambitious talents to help us continue this journey We have a streamlined structure that empowers employees to work efficiently, delivering the best results in a short timeframe We offer competitive salaries and benefits Blockchain technology and digital assets have the potential to change finance in a way no other technology can - be part of it!
If you are ambitious and believe that digital assets could be the next financial and technological revolution, please apply!
By submitting a job application, you confirm that you have read and agree to our Candidate Privacy Notice.
Bitget
Bitget
Bitget
Bitget