Job Description
Responsibilities
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- According to the needs of risk management in the crypto-financial system, design risk control models, improve risk quantitative methods, and follow up the development of risk measurement tools
- Based on the characteristics of crypto and derivative products, carry out internal risk analysis, evaluation, and prevention
- Be responsible for compiling and summarizing various risk management reports. Carry out scenario analysis and risk stress test design
- Carry out the optimization of production risk management process and promote the construction of comprehensive risk management information based on the big data system
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Requirements
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- Have a deep foundation in statistics and quantitative finance, rich experience in system construction and demand analysis, and good data processing and analysis capabilities
- Proficiency in at least one computer language is a plus
- Good learning ability, communication skills, and teamwork spirit
- Master’s degree or above in well-known universities. Financial engineering, mathematics, computer science, or other related majors are preferred
- At least 2 years of work experience related to risk management. Experience in risk analysis or performance analysis in financial security trading institutions is preferred
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