Job Responsibilities
- Portfolio Management (Core Responsibility)
Design and implement a stablecoin reserve asset investment strategy, allocating diversified assets such as cash, short-term bonds, repurchase agreements, and compliant DeFi protocols
Dynamically optimize the risk-return ratio of the portfolio to ensure 100% liquidity coverage and principal safety
Explore innovative income opportunities such as RWA (Real-world Assets) and structured products
2. Full-chain risk management
Establish a market/credit/liquidity/smart contract risk monitoring system and set core indicators such as VaR and LCR
Take the lead in extreme scenario stress tests to ensure the redemption capacity under extreme market conditions
3. Compliance assurance
- Ensure that all investment activities comply with global regulatory requirements (such as reserve audits, asset custody, AML framework)
- Collaborate with the legal team to deal with reviews by regulatory authorities such as the SEC and MAS
4. Cross-departmental collaboration
Provide liquidity solutions for product design (such as redemption mechanisms, cross-chain bridging)
- Communicate DeFi protocol integration requirements (such as Aave, Compound interest rate strategies) to the engineering team
Job Requirements
- 3 to 5 years of experience in traditional financial markets
2. Proficient in money market tools such as government bonds, commercial paper, and repo
3. Have practical experience in managing fund/bank liquidity pools
4. Clearly understand the operation mechanism of stablecoins (such as USDT/USDC/DAI, etc.)
5. Have operated DeFi protocols: liquidity mining, interest rate arbitrage, staking, etc