About us
Bitget is the world's largest Universal Exchange (UEX), serving over 125 million users and offering access to over 2M crypto tokens, 100+ tokenized stocks, ETFs, commodities, FX, and precious metals such as gold. The ecosystem is committed to helping users trade smarter with its AI agent, which co-pilots trade execution.
Bitget is driving crypto adoption through strategic partnerships with LALIGA and MotoGP™. Aligned with its global impact strategy, Bitget has joined hands with UNICEF to support blockchain education for 1.1 million people by 2027. Bitget currently leads in the tokenized TradFi market, providing the industry's lowest fees and highest liquidity across 150 regions worldwide.
What you'll do
- Responsible for the daily management and optimization of the exchange’s financial parameters. Use quantitative analysis to drive refined adjustments of core parameters such as margin requirements, leverage, and limits, improving user experience and platform competitiveness while keeping risks under control.
- Conduct daily inspections of platform-wide parameters, including margin rates, maintenance margin rates, maximum leverage, position limits, and funding rates. Provide optimization recommendations based on market changes and drive implementation.
- Regularly analyze liquidation data to identify trading pairs and user segments with high risk of negative equity / socialized loss. Deliver improvement proposals, such as increasing margin requirements, reducing leverage, or limiting positions.
- Build a dynamic parameter adjustment model based on multi-dimensional indicators such as market volatility, liquidity depth, and position concentration, enabling automated or semi-automated parameter tuning.
What you'll need
- More than 5 years of finance-related experience, including at least 3 years of risk control or trading experience at a centralized cryptocurrency exchange (CEX).
- Trader experience is preferred. Candidates should have personal trading experience in crypto or traditional financial markets, either manually or quantitatively.
- Familiar with the risk characteristics of cryptocurrency derivatives, including perpetual futures, delivery futures, and options, as well as the operating mechanisms of exchanges.
- Experience in the risk control team of a top 3 major cryptocurrency exchange is preferred.
岗位职责:
- 负责交易所金融参数的日常管理与优化,通过定量分析驱动保证金、杠杆、限额等核心参数的精细化调校,在风险可控的前提下提升用户体验与平台竞争力。
- 每日巡检全平台保证金率、维持保证金率、杠杆上限、持仓限额、资金费率等参数,结合市场变化提出调优建议并推动落地。
- 定期分析爆仓数据,识别高穿仓风险币对和用户群,输出改进建议(提升保证金率/降低杠杆/限制持仓)。
- 建立基于市场波动率、流动性深度、持仓集中度等多维指标的参数动态调整模型,实现参数自动/半自动调校。
任职要求:
- 5年以上金融相关经验,3年以上加密货币交易所(CEX)风控或交易经验
- 有交易员经验优先,自己做过币圈/传统金融交易(手动或量化均可)
- 熟悉加密货币衍生品(永续合约、交割合约、期权)的风险特征和交易所运作机制
- top3大所的风控团队优先。
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!
For more information regarding candidates' personal data processing, please refer to Bitget Candidate Privacy Notice.