Risk Manager (Financial Contract Products)/风控经理(金融合约产品)

DavionLabs

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China
Salary not disclosed
full-time
Posted July 30, 2026
via himalayas

About This Role

Job Responsibilities • Lead the design of financial logic and core risk control models for perpetual contracts, including but not limited to the continuous iteration of the funding rate model, tiered margin system, Auto-Deleveraging (ADL), and forced liquidation logic, ensuring the system can withstand extreme unilateral market movements and severe volatility. • Establish and refine the daily risk monitoring framework, track funding rate fluctuations, user position exposure distribution, and order book liquidity depth in real-time, and promptly identify and alert on potential risks based on on-chain/off-chain data. • Coordinate the execution of risk control requirements, driving the full lifecycle management of risk control strategies from requirement analysis, development, and testing to launch and final acceptance, ensuring high-quality implementation. Job Requirements • Bachelor's degree or above in Finance, Mathematics, Statistics, Computer Science, or related fields. • 2+ years of experience in Crypto derivatives, risk management, or product design, with a profound understanding of the operational mechanisms of perpetual contracts. • Excellent communication and coordination skills, coupled with strong logical thinking; outstanding cross-departmental collaboration and a proven ability to drive projects; highly responsible, maintaining a keen risk awareness tailored to the fast-paced Web3 market environment. • Prior experience with contract or risk control products at top-tier CEX/DEX is highly preferred. About Us Davion Labs is currently inviting a Risk Manager (Financial Contract Products) with a strong background in derivatives and exceptional risk model design capabilities to join the core team of ApeX Protocol. Incubated by Davion Labs, ApeX Protocol is an industry-leading, innovative decentralized exchange (DEX) platform committed to providing users with an efficient, transparent, and secure cryptocurrency trading environment. Amidst the continuous explosive growth of Web3 technologies and the digital asset derivatives market, we are actively strengthening our underlying architecture, focusing on risk control mechanism innovation and trading experience upgrades. We aim to redefine the decentralized trading landscape through top-tier liquidation engines and a comprehensive product portfolio. Our core product, ApeX Omni (v2), offers multi-chain liquidity, a flexible and user-centric design, and top-level security guarantees powered by zero-knowledge proofs. To build a solid "moat" for this top-tier, financial-grade business system and ensure the absolute safety of the platform's liquidity pools and user assets, we are continuously iterating and upgrading our core risk control framework. As the Risk Manager (Financial Contract Products), you will be deeply involved in the construction and iteration of the underlying risk control logic for the ApeX protocol. You will play a decisive role in everything from the precise calibration of the perpetual contract funding rate model and the optimization of the tiered margin system, to the robust implementation of liquidation logic and auto-deleveraging (ADL) mechanisms under extreme market conditions. We look forward to you leveraging your extensive experience in derivative risk control and keen awareness of extreme market risks to collaborate closely with our R&D and quantitative teams. Together, we will safeguard the bottom line of trading security and build a resilient, efficient, and top-tier Web3 trading ecosystem. • (ADL) • / • • • 2 Crypto / • Web3 • CEX/DEX Davion Labs ApeX Protocol ApeX Protocol Davion Labs (DEX) Web3 ApeX Omni (v2) ApeX ADL Web3 Originally posted on Himalayas

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