Job Description
The position: Risk Control Manager (Financial Contracts Product Direction) - Lead the design of financial logic and core risk control models for perpetual contracts, including but not limited to continuous iteration of funding rate models, tiered margin systems, Auto-Deleveraging (ADL), and liquidation logic to ensure the system can withstand extreme unilateral market conditions and severe volatility. - Establish and improve daily risk monitoring systems, track real-time fluctuations in funding rates, user position exposure distribution, and order book liquidity depth, and identify and warn of potential risks based on on-chain/off-chain data. - Coordinate and implement risk control requirements, promote the full lifecycle management of risk control strategies from demand analysis, development testing to launch acceptance, ensuring high-quality execution.
Key Responsibilities
- Design and optimize financial models for perpetual contracts, including funding rate mechanisms and liquidation protocols.
- Develop real-time monitoring tools to track market risks and user exposures.
- Collaborate with cross-functional teams to implement risk control strategies and ensure system robustness.
- Conduct risk assessments and provide actionable insights to mitigate potential threats.
- Stay updated with industry trends and regulatory changes affecting crypto derivatives.
Job Requirements
- Bachelor's degree or higher in Finance, Mathematics, Statistics, Computer Science, or related fields.
- Minimum 2 years of experience in Crypto derivatives or risk control/product design, with deep understanding of perpetual contract mechanisms.
- Excellent communication, coordination, and logical thinking skills; strong cross-department collaboration and project management abilities.
- High sense of responsibility and keen risk awareness in fast-paced Web3 environments.
- Prior experience in leading CEX/DEX contract or risk control products is preferred.
About Us
Davion Labs is currently seeking a Risk Control Manager (Financial Contracts Product Direction) with deep derivatives expertise and exceptional risk model design capabilities to join the core team of ApeX Protocol. ApeX Protocol, incubated by Davion Labs, is a leading innovative decentralized exchange (DEX) platform dedicated to providing users with efficient, transparent, and secure cryptocurrency trading environments. As Web3 technology and digital asset derivatives markets continue to expand, we are strengthening our infrastructure, focusing on risk control innovation and trading experience upgrades. Our goal is to redefine decentralized trading through top-tier liquidation engines and comprehensive product offerings. Our flagship product, ApeX Omni (v2), offers multi-chain liquidity, flexible user-centric design, and top-tier security based on zero-knowledge proofs. To fortify this financial-grade system and ensure the absolute safety of platform funds and user assets, we are continuously iterating and upgrading our core risk control framework. As the Risk Control Manager for financial contract products, you will deeply participate in building and iterating ApeX Protocol's underlying risk logic. From actuarial work on perpetual contract funding rate models to optimizing tiered margin systems and ensuring robust liquidation logic and ADL mechanisms during extreme market conditions, you will play a pivotal role. We expect you to leverage your extensive derivatives risk control experience and sharp market risk awareness to collaborate closely with R&D and quantitative teams, safeguarding trading security and building a robust, efficient Web3 trading ecosystem.
Benefits
- Highly competitive salary.
- 100% global remote collaboration.
- Flat management structure with an excellent team atmosphere.
Application
Direct application portal: https://davionlabs.bamboohr.com/careers/66?source=aWQ9MzM%3D


