Job Description
As a CFD Product Manager, you will be responsible for overseeing the entire lifecycle of our Contract for Difference (CFD) product line, which includes stocks, indices, forex, commodities, and cryptocurrencies. You will design core trading functionalities and ensure seamless product operations while maintaining compliance with regulatory standards.
Key Responsibilities
- Product Planning & Design: Manage the full lifecycle of CFD products, including stocks, indices, forex, commodities, and cryptocurrencies. Design core trading features such as order types (market/limit/stop loss/take profit), leverage settings, margin calculations, swap rates, spread management, and auto-rollover mechanisms.
- Trading Logic & Risk Control: Optimize matching engine logic for high-frequency trading stability. Develop risk control models, including liquidation logic, negative balance protection, position limits, and circuit breakers during extreme market conditions.
- User Experience & Data-Driven Optimization: Enhance trading terminal (Web/App) usability, reduce order latency, and improve charting tools. Analyze user behavior (retention, repurchase, liquidation rates) to refine product strategies and increase user lifetime value (LTV).
- Compliance & Cross-Team Collaboration: Work with compliance teams to ensure adherence to regional regulations (e.g., ESMA, ASIC). Coordinate with development, testing, operations, and customer support teams to deliver high-quality product releases and create training materials.
Job Requirements
- Experience: Bachelor’s degree or higher in Finance, Mathematics, Computer Science, or related fields. 3-5 years of experience as a Product Manager in financial derivatives (CFDs, forex, futures), preferably with brokers, FX firms, or crypto exchanges.
- Technical Skills: Deep understanding of CFD trading mechanisms (margin, leverage, spreads, slippage, swaps). Familiarity with MetaTrader (MT4/MT5), cTrader, or proprietary trading systems. Proficiency in SQL, Python, or data visualization tools (Tableau/Power BI).
- Soft Skills: Strong market awareness, analytical thinking, and risk management capabilities. Ability to communicate complex financial concepts clearly to technical and non-technical teams. Fluency in English is a plus for handling regulatory documents and liaising with overseas liquidity providers.
Benefits
- Supplementary medical insurance
- Minimum 10 days of annual leave
- Paid sick leave


