Job Description – Derivatives Operations & Risk Analyst Responsibilities Contract Listing: Evaluate, test, launch, and coordinate announcements for new products.
Operations: Maintain index prices, funding rates, leverage/margin parameters.
Risk Monitoring: Track volatility, OI, liquidations, funding rate anomalies, basis, and depth; trigger contingency plans as needed.
Incident Response: On-call support for market/system events, coordinate cross-team resolution and follow-ups.
Reporting: Build daily/weekly/monthly reports to support product and risk decisions.
Requirements Bachelor's degree or above in STEM (Math, Stats, CS, Finance, etc.).
Hands-on spot/derivatives or index futures trading experience preferred.
Strong attention to detail, calm under pressure, available for on-call duties.
Mandarin required; English reading/writing preferred.