Product Strategy & Optimization: Lead the continuous improvement of risk monitoring tools for securities and derivatives. Design and optimize risk identification mechanisms and critical risk mitigation tools (e.g., forced liquidation, order cancellation, and margin calls/adjustments)
Process & UX Enhancement: Streamline risk monitoring and resolution workflows to drive operational efficiency. Successfully balance robust risk controls with a seamless, user-centric experience during critical risk-handling scenarios
Cross-functional Leadership: Champion risk-related initiatives from end to end. Collaborate closely with engineering, operations, and business teams to ensure the successful delivery and execution of the risk product roadmap
Requirements
Domain Expertise: Deep understanding of risk identification and resolution within the brokerage/securities industry. Strong knowledge of credit and market risks. Prior experience in brokerage risk operations or risk system architecture is highly preferred
Execution & Communication: Outstanding proactive communication and stakeholder management skills. Proven track record of managing product lifecycles, tracking development progress, and ensuring high-quality product iterations
Problem Solving: Exceptional analytical skills with a proven ability to tackle complex challenges. A fast learner with a strong sense of ownership and accountability
Agility & Resilience: Open-minded, adaptable, and capable of thriving in a fast-paced, high-pressure environment
Language Proficiency: Bilingual proficiency in Chinese and English. Excellent English reading and writing skills are required, and strong spoken English is a significant plus. Ability to use both languages effectively as working languages is preferred