Trading Risk Control Strategy Expert

Gate

Completely RemoteFull TimeInformation Technology
Posted Yesterday

Job description

Responsibilities

  • Build risk control models and strategy systems for core trading products, covering pre-warning, real-time interception, and post-event analysis
  • Design and iterate risk strategies to identify price manipulation, wash trading, fake orders, and cross-market arbitrage abuse using high-frequency data
  • Perform feature engineering and variable mining based on order book data, transaction logs, user positions, and fund transfers to build risk profiles
  • Participate in margin risk model construction, including liquidation model optimization and bankruptcy warning threshold optimization
  • Use graph computing and community detection algorithms to identify coordinated trading groups and related account wash trading
  • Establish a monitoring system for trading risk indicators to support business and compliance decisions
  • Explore AI/LLM applications in trading risk control, such as intelligent anomaly detection and automated risk attribution

Requirements

  • Bachelor's degree or above in Computer Science, Statistics, Mathematics, Financial Engineering, or related fields
  • 3+ years of experience in risk control model/strategy development, preferably in exchanges or brokerages
  • Proficiency in Python, Java, or Go with strong data processing and modeling skills
  • Familiarity with machine learning models like XGBoost, LightGBM, Logistic Regression, and time-series anomaly detection
  • Experience with graph databases (Neo4j, NebulaGraph) and community detection algorithms (Louvain, LPA)
  • Familiarity with real-time stream processing technologies such as Flink and Kafka for millisecond-level risk interception

Preferred Qualifications

  • Familiarity with TradFi financial rules (Stocks, ETF, Forex) and ability to migrate traditional compliance models to TradFi scenarios
  • Practical experience applying LLMs to risk control scenarios, such as user behavior recognition or automated risk reporting

Skills & tools

PythonMachine LearningFlink

What the team is looking for

Use this list as a quick fit check before you apply.

  1. 01Bachelor's degree in CS, Math, or Finance
  2. 023+ years risk control experience
  3. 03Proficiency in Python, Java, or Go
  4. 04Experience with ML models (XGBoost, LightGBM)
  5. 05Knowledge of graph databases and community detection
  6. 06Familiarity with Flink or Kafka
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