Responsibilities
1.Product Risk Identification & Assessment
- Manage risk assessment, monitoring, and control for crypto wealth products (liquidity mining, on-chain yield, structured products, quantitative strategies, etc.). Build a comprehensive product risk control framework covering credit, market, liquidity, operational, and smart contract risks.
- Conduct risk due diligence on external DeFi protocols (e.g., Aave, Curve, EigenLayer, Pendle), including protocol incident history, multisig governance, oracle sources, and contract upgrade mechanisms.
- Establish pre-launch risk review processes for new products; deliver risk assessment reports and mitigation plans.
2.Quantitative Risk Modeling
- Build and maintain risk monitoring models and early-warning indicators (VaR, stress testing, drawdown controls, liquidation thresholds, etc.); produce daily risk reports.
- Identify asset-liability mismatch risks in wealth products; set redemption limits, circuit breakers, and emergency pause rules.
3.On-chain Data Monitoring
- Monitor on-chain address behavior (e.g., large fund movements, abnormal contract interactions) to identify potential oracle manipulation, flash loan attacks, or market manipulation risks.
- Collaborate with the security team on continuous risk auditing of smart contracts underlying yield pools.
4.Incident Response & Post-mortem
- Develop and drill emergency response plans for major risk events (e.g., Curve pool exploits, Luna-style depegging).
- Conduct root-cause analysis after risk incidents and continuously optimize the risk control framework.
Requirements
- Bachelor's degree or above in Finance, Mathematics, Statistics, Computer Science, or related fields
- 5+ years of risk control experience in financial institutions (banks/brokerages/asset management) or crypto asset firms, with at least 3 years directly involving structured wealth products
- Strong understanding of mainstream crypto yield product rules and DeFi protocol design mechanisms; proficient with on-chain analytics tools
- Proficient in on-chain analytics tools (Etherscan / Dune / Nansen) and market risk quantification tools (VaR / Greeks / Monte Carlo); skilled in Python/SQL for data analysis
- Strong risk awareness, rigorous logic, and ability to make quick decisions in highly volatile market environments
- Excellent written and verbal communication skills in both Chinese and English
Nice to Have
- FRM, CFA, or equivalent risk/finance certifications
- Hands-on risk control experience with crypto wealth products; familiar with various product characteristics and risk structures