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产品经理-衍生品

HashKey Group

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HashKey Group
Job Type   /   Job Level
Full-time   /   Senior Executive
Company Location
Hong Kong

岗位职责

  1. 产品主导:负责合规金融衍生品(永续/交割合约、期权及结构化产品等)的产品规划、从 0-1 建设及迭代优化;
  2. 机制设计:与风控、量化团队合作,设计并优化保证金模型(统一账户/组合保证金)、清算逻辑、资金费率及风险限额引擎;
  3. 合规落地:理解香港、阿联酋等主流地区监管要求,确保产品在合法合规的前提下保持良好的交易体验;
  4. 用户与增长:兼顾零售及机构客户(API 用户/做市商)需求,优化交易链路与 API 性能,驱动交易量与流动性增长;
  5. 跨组协同:作为产品 Owner 驱动研发、合规、法务及运营团队,确保产品高质量交付。

任职要求

  1. 核心经验:5 年以上产品经验,至少 3 年以上交易平台或传统金融(券商/投行)衍生品/交易核心产品经验;
  2. 专业底蕴:精通衍生品底层逻辑,熟悉期权/合约机制、保证金制度(Cross/Isolated/Portfolio)及撮合清算规则;
  3. 教育背景:全日制本科及以上学历,金融工程、数学、计算机等相关专业,海内外知名高校背景优先;
  4. 综合素质:极强的逻辑思维与数据驱动能力,能适应合规框架下的产品创新,抗压能力强。

加分项

  • 具备海外留学/工作经历,有跨文化团队协作经验;
  • 有个人期权/合约实盘交易经验,或具备量化/做市商背景。


Job Responsibilities:

  1. Product Leadership: Take charge of product planning, 0-to-1 construction and iterative optimization of compliant financial derivatives including perpetual/delivery contracts, options, structured products, etc.
  2. Mechanism Design: Cooperate with risk control and quantitative teams to design and optimize margin models (unified account/portfolio margin), clearing logic, funding rate and risk limit engine.
  3. Compliance Implementation: Understand regulatory requirements of major regions such as Hong Kong and the United Arab Emirates, and ensure a good trading experience on the premise of legal compliance of products.
  4. User Experience & Growth: Balance the needs of retail and institutional clients (API users/market makers), optimize trading workflow and API performance, and drive the growth of trading volume and liquidity.
  5. Cross-team Collaboration: As the product Owner, drive R&D, compliance, legal and operation teams to ensure high-quality product delivery.

Job Requirements:

  1. Core Experience: More than 5 years of product experience, with at least 3 years of experience in core derivatives/trading products at trading platforms or traditional financial institutions (securities firms/investment banks).
  2. Professional Capability: Profound mastery of the underlying logic of derivatives, familiar with option/contract mechanisms, margin systems (Cross/Isolated/Portfolio) and matching & clearing rules.
  3. Education Background: Full-time bachelor's degree or above, majoring in financial engineering, mathematics, computer science and other related fields; graduates from well-known universities at home and abroad are preferred.
  4. Comprehensive Quality: Extremely strong logical thinking and data-driven ability, able to adapt to product innovation under the compliance framework, with good pressure resistance.

Preferred Qualifications:

  • Have overseas study/work experience and experience in cross-cultural team collaboration;
  • Have personal real trading experience of options/contracts, or have a quantitative trading/market making background.
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