Location: Remote
Type: Full-time
Our client is building the blockchain's first perpetually appreciating token, powered by a next-generation protocol and innovative cryptoeconomics. The mission is to define a new standard of value creation, stability, and capital efficiency in decentralized finance (DeFi).
Role Overview
We are looking for an experienced Quantitative Researcher & Trading Strategist to join the core team.
This position sits at the intersection of capital deployment, fund strategy, and protocol optimization - ideal for candidates with experience in hedge funds, asset management, or quantitative trading desks, and a strong grasp of both crypto-native and traditional market mechanics.
Key Responsibilities
* Alpha & Strategy Design: Develop and backtest algorithmic trading strategies across centralized and decentralized markets, including arbitrage, market-making, momentum, and carry-based approaches.
* Asset Manager Screening & Due Diligence: Evaluate third-party fund managers and trading teams for potential capital allocation partnerships, conducting deep assessments of their strategies, track records, and risk profiles.
* Institutional Integration: Collaborate with custodians, prime brokers, and execution partners to establish infrastructure for secure capital deployment and operational scalability.
* Protocol Capital Allocation: Design and refine strategies to optimize how protocol capital is deployed, ensuring capital efficiency and strong risk-adjusted returns.
* Risk Management: Implement comprehensive risk frameworks, including exposure limits, drawdown controls, and counterparty evaluations.
* Data & Research Infrastructure: Leverage and expand internal research tools to monitor live PnL, strategy health, and market conditions across various asset classes.
* Cross-functional Collaboration: Work closely with protocol researchers, engineers, and community stakeholders to align financial strategies with protocol mechanics.
* Ecosystem Intelligence: Track trends across crypto and traditional markets to inform strategy and protocol design.
Requirements
* Bachelor's or Master's degree in Mathematics, Statistics, Finance, Computer Science, Physics, or a related field.
* 5+ years of experience in quantitative trading, hedge fund management, or systematic strategy development, ideally with exposure to digital assets.
* Proven success in managing and optimizing trading capital, either internally or through external asset managers.
* Strong understanding of CEX/DEX trading infrastructure, execution, and liquidity dynamics.
* Experience with institutional custodians (e.g., Fireblocks, Anchorage, Copper) and workflow integration.
* Deep knowledge of DeFi protocols, token mechanics, liquidity provisioning, and on-chain analytics.
* Proficiency in Python or similar languages for backtesting, modeling, and data analysis.
* Self-driven mindset and ability to thrive in a fast-paced, high-autonomy environment.
What's Offered
* Opportunity to help shape the architecture of the first self-appreciating token in blockchain.
* Work alongside elite talent from the worlds of crypto, trading, and software engineering.
* Flexible remote setup and full ownership of high-impact initiatives.
* Includes revenue sharing, performance-based bonuses, and an optional consulting arrangement.