Conduct market analysis and evaluate macroeconomic trends, interest rate environments, and counterparty conditions to support investment decisions
Work closely with internal treasury and finance teams to align investment strategies with liquidity planning, operational funding needs, and capital management priorities
Assess and manage investment-related risks, including liquidity risk, market risk, counterparty risk, and concentration risk
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Cross-functional collaboration — Collaborate with frontend, backend, UED, QA, and other roles to drive the full process delivery of requirements from PRD to launch
User feedback and data-driven — Focus on user feedback and data metrics to continuously optimize the stock asset display experience and data accuracy
Localization experience — Experience in multi-language, multi-country/region localized product adaptation, able to handle compliance and experience differences in different markets
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