Job Description: - Full-cycle execution and operation of contract trading: Responsible for the end-to-end execution and daily parameter maintenance of contract trading from launch, operation to delisting, ensuring liquidity, execution quality, and business safety and stability. - New coin listing/delisting management: Drive and implement the processes for listing new coins, delisting, and related changes (contract configuration, risk control coordination, announcement/operation collaboration, regression verification, and post-launch review). - Phased
Job Description: 1. User Lifecycle Operation Capability: Proficient in the entire process of user acquisition, activation, retention, conversion, and re-engagement. Able to develop differentiated strategies for users at different levels to enhance user activity, retention rates, and transaction frequency. 2. Event Planning and Execution Capability: Capable of independently planning and executing various user operation activities, controlling the pace, optimizing processes, ensuring expected outcomes are achieved, and completing post-event reviews and optimizations. 3. User Insight and Seg
Job Description: Contract Engine 2.0 Association Refactoring, Parallel Development Partner and Partner Refactoring. - Core System Development: Responsible for the architecture design and core code development of the exchange partner (agent) system. - Clearing and Settlement Logic Implementation: Lead the development of the rebate clearing and settlement engine, handling fund flows from trading streams to rebate accounts, ensuring accurate fund calculations (zero errors) under high concurrency. - High Performance