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 product design of the U.S. equity options risk control platform, covering pre-trade, intra-trade, post-trade, and expiration-day risk management.
- Responsible for margin risk control design, including initial margin, maintenance margin, risk ratio, buying power, margin calls, and related mechanisms.
- Responsible for designing options risk rules, including short options risk, expiration-day options risk, exercise and assignment risk, and multi-leg/combination strategy risk.
- Responsible for designing the automated liquidation system, including liquidation trigger conditions, liquidation priority, liquidation quantity, liquidation orders, and result tracking.
- Responsible for designing the risk monitoring console, risk alerts, user notifications, and operational handling workflows.
What you'll need
- 3+ years of experience in financial risk control, margin trading, securities/futures/options products, or related areas.
- Familiar with options trading mechanisms and risk characteristics, including short-side risk, multi-leg strategies, expiration risk, exercise and assignment, etc.
- Familiar with risk control mechanisms such as margin, risk ratio, margin calls, forced liquidation, trading permissions, and pre-trade checks.
- Experience with brokerages, futures companies, trading system vendors, or derivatives risk control systems is preferred.
- Strong ability to abstract business rules, strong risk awareness, and excellent cross-functional communication skills.
岗位职责:
- 负责美股期权风控平台产品设计,覆盖交易前、交易中、交易后及到期日风险管理。
- 负责保证金风控设计,包括初始保证金、维持保证金、风险度、购买力、追保等。
- 负责期权风险规则设计,包括卖方风险、末日期权风险、行权指派风险、组合策略风险等。
- 负责自动强平系统设计,包括强平触发条件、强平优先级、强平数量、强平订单及结果跟踪。
- 负责风控监控后台、风险预警、用户通知和运营处置流程设计。
任职要求:
- 3年以上金融风控、保证金交易、证券/期货/期权产品经验。
- 熟悉期权交易机制及风险特征,包括卖方风险、组合策略、到期风险、行权指派等。
- 熟悉保证金、风险度、追保、强平、交易权限、交易前校验等风控机制。
- 有券商、期货公司、交易系统厂商、衍生品风控系统经验优先。
- 具备较强的规则抽象能力、风险意识和跨部门沟通能力。
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!
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