## Primary Responsibilities
DeFi Strategy:
Proactively source, evaluate, and diligence DeFi yield opportunities (money markets, LPing/Uniswap v3, basis/funding captures, vaults, RWAs).
Conduct comprehensive protocol underwriting to establish investment theses. Define robust risk criteria, implement firm-wide position limits, and articulate clear, actionable exit paths for all deployed capital.
Utilize analytical tools to track the performance of DeFi positions, perform return reconciliation, and conduct detailed attribution analysis to understand strategy contribution and drive optimization.
Build and maintain operating playbooks and risk guardrails for DeFi activities (venue whitelist, oracle/MEV checks, health/LTV, signer policies, incident response).
Manage day-to-day DeFi operations including continuous collateral monitoring, rebalancing, hedging, and alerts.
## Role Requirements
5 to 7 years experience, with 3–5 years specifically in DeFi portfolio ops/treasury, crypto trading/derivatives, multi-manager/allocator research, or quant/risk analytics.
Depth of experience with a variety of DeFi protocols and liquidity provision across EVM and non-EVM chains.
Operational DeFi skills: wallet hygiene and multisig, bridging/L2 flows, oracle & MEV risk basics, collateral/health factor management.
Familiarity with a variety of crypto trading strategies (CeFi/DeFi, directional/non-directional).
Demonstrated experience in evaluating and performing diligence of crypto fund managers, including track record analysis and operational due diligence.
Proficiency in Python, Jupyter, SQL basics, advanced Excel; comfort with time-series joins, return reconciliation, attribution, and stress testing.
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