We are partnering with one of Asia’s most established and fast‑growing blockchain technology companies, offering a rare opportunity to work at the forefront of digital assets. The firm stands out for its institution‑grade security, full‑stack digital‑asset infrastructure, and a high‑growth, innovation‑driven culture.
Our client is seeking an experienced Portfolio Manager to lead and scale multi‑asset crypto options strategies. If you are passionate about digital assets, backed by a strong quantitative foundation and a proven live trading track record, this is an opportunity worth exploring.
Key Responsibilities
• Design, develop, and implement multi‑coin crypto options strategies, covering the full lifecycle from research and backtesting to live trading and productization.
• Monitor macroeconomic trends and crypto market dynamics to optimize portfolio allocation and enhance risk‑adjusted returns.
• Build and refine a systematic research framework, including data analytics, factor research, strategy validation, and performance review.
• Convert validated strategies into investable client products and deliver regular investment reports and performance updates.
Qualifications
• Master’s degree or above in Mathematics, Physics, Financial Engineering, Quantitative Finance, or related disciplines.
• At least 5 years of trading experience across both traditional financial markets and crypto markets.
• Strong understanding of options and derivatives trading, with a demonstrable live track record.
• Proficiency in quantitative research tools (Python/Matlab/C++), with strong modelling, backtesting, and risk management capabilities.
• Deep passion for digital assets, with independent thinking, sharp market instincts, and disciplined execution.
• Professional certifications such as CFA, CQF, or FRM are advantageous.
Candidates with the relevant experience who are keen to explore this opportunity may send their CV to james.tan@hudson.sg for a confidential discussion.