Job Description:
Key Responsibilities:
- End-to-End Delivery & Release Management:
- Complex Project Coordination: Lead the Perp Futures V2 core trading system overhaul and subsequent iteration plans. Develop a detailed Work Breakdown Structure (WBS) down to daily tasks, managing the entire lifecycle from requirement reviews, development, integration testing, QA, staged releases, to full deployment.
- Critical Path Management: Identify critical paths and dependencies (e.g., risk control slippage features must precede market maker integration testing). Resolve bottlenecks through resource allocation to ensure unwavering launch timelines.
- Release Gatekeeping: Establish strict Go/No-Go criteria. Conduct pre-release reviews with R&D, risk control, and operations teams—only proceed when system stability, risk parameters, and customer service training meet standards.
- Business Readiness & Cross-Functional Alignment:
- Operational Synchronization: Collaborate closely with marketing on event calendars (e.g., trading competitions, airdrop festivals), aligning technical releases with Go-to-Market (GTM) plans to prevent mismatches like "features unprepared for events" or "operations lagging behind launches."
- Customer Service & Risk Control Implementation: Oversee SOP documentation for new features, ensuring 100% of support staff pass pre-launch assessments. Coordinate risk team drills on defensive measures (e.g., circuit breakers, emergency cancellations).
- Market Maker (MM) Integration: Facilitate API testing between external market makers and internal tech teams to guarantee deep order book liquidity from launch.
- Process Standardization & Continuous Improvement:
- SOP Development: Systematize tacit knowledge into explicit workflows (e.g., Listing Standards, Emergency Shutdown Protocols, VIP Complaint Handling SOPs) and enforce compliance.
- Post-Mortem Culture: Conduct deep-dive retrospectives for delays, outages, or operational incidents—focusing on actionable improvements rather than blame.
- Transparency: Maintain Lark Wiki project spaces with daily/weekly reports, ensuring leadership visibility into progress, risks, and resource utilization.
- Risk & Resource Management:
- Early Warning & Mitigation: Proactively flag P&L-impacting risks (data latency, compliance, third-party instability) and devise contingency plans.
- Resource Negotiation: Advocate for perpetual futures priorities (e.g., risk controls, trading UX) during R&D resource shortages, leveraging ROI-driven discussions with CTOs.
Job Requirements:
- Background:
- Bachelor’s degree or higher with 5+ years in internet project management.
- Mandatory 2+ years in crypto exchanges (CEX) or traditional derivatives (futures/FX), with expertise in perpetual contracts, funding rates, isolated/cross-margin, and liquidation engines.
- Hard Skills:
- Proficiency in Jira, Lark/Feishu; adept at Gantt charts and burn-down tracking.
- PMP/Prince2/Scrum Master certifications preferred.
- Soft Skills:
- Relentless Drive: Tenacious personality willing to challenge cross-team inertia to uphold business goals.
- Adaptive Communication: Fluently translate between technical (devs) and business (traders/ops) jargon.
- Resilience: Thrive in Crypto’s 24/7 high-pressure environment (e.g., managing outages during volatility).


