Job Responsibilities
- Research market data, design reasonable market-making strategies and plans, and provide users with a good trading experience by collaborating with development and operations teams.
- Monitor the trading process closely, continuously optimize plans, conduct risk assessments for the products in charge, and collaborate with the business line to achieve profit targets.
- Research the latest market-making strategies, extract strategies with optimization value for in-depth research, and form product recommendations.
- Complete other research on major asset categories and related trading work according to business development needs.
- Team collaboration ability: Possess good teamwork skills, able to work closely with other departments and teams to promote the smooth progress of risk management work.
- Professional knowledge: Possess relevant professional knowledge in risk management and legal affairs, familiar with the theories and practices of risk management and compliance management.
Job Requirements
- Full-time undergraduate degree or above from key domestic and foreign universities, with a preference for a combined background in finance, financial engineering, mathematics, or computer science.
- More than two years of work experience in financial trading, with knowledge of financial derivatives and commodity futures being a plus.
- A profound understanding of the financial market, excellent logical thinking, and analytical abilities, and sensitivity to market dynamics; some strategic capabilities.
- Familiarity with systematic market-making operations, understanding how to effectively control specific risks, and the ability to propose risk scenarios and responses from past trading experiences.
- Proficiency in Python for data analysis is preferred.
- Candidates with experience in contract market-making will be given priority.
- Strong team awareness, strong sense of responsibility for work, and excellent communication skills.
- Proficient in Chinese and English to liaise with Chinese clients.