Product Manager(U.S. equities)
Product
Singapore
About BIT:
BIT (formerly Matrixport) is a global digital asset financial services and infrastructure group. Headquartered in Singapore and founded in 2019, BIT bridges traditional finance and digital assets through governance-driven financial services and technology.
The firm manages over US$7 billion in assets and facilitates more than US$7 billion in monthly trading volume. BIT offers services including custody, trading, asset and wealth management, liquidity and financing solutions, and tokenised real-world assets (RWA), serving institutional and professional investors globally.
BIT Group entities maintain a licensed and regulated footprint across Singapore, Hong Kong, Switzerland, the United Kingdom, the United States and Bhutan.
For more information, visit www.bit.com
Why Join Us:
At BIT, we tackle complex problems as a team. We encourage openness and promote transparency, respect, and inclusivity. Every team member is valued and has a voice that can be heard. We are always in search of intellectually curious and entrepreneurial individuals who are keen on making an impact in the crypto ecosystem and in building a better product for the next one billion users.
Job Responsibilities:
- Own the end-to-end product strategy and roadmap for US equities Margin Trading, Short Selling or Options Trading.
- Define product requirements and drive cross-functional delivery across Engineering, Risk, Trading, Operations, Compliance and Clearing Brokers.
- Design margin, buying power, risk control and liquidation workflows to balance user experience, regulatory requirements and platform risk.
- Collaborate with clearing brokers and upstream providers to integrate financing, securities lending, option clearing and settlement capabilities.
- Coordinate with Legal and Compliance to ensure products comply with regulatory requirements across different jurisdictions.
Job Requirements:
- 4+ years of fintech product experience, including 2+ years on U.S. equities brokerage products.
- Deep expertise in either of the following directions is required: client-facing (market data / markets & discovery / stock-level content) or trading back-end (trading / accounts / clearing & settlement) — plus a working knowledge of the other, and the willingness and ability to ramp up on it quickly.
- Deep understanding of U.S. equities trading, settlement, and clearing; solid grasp of U.S. market data, the three financial statements and valuation metrics, and how corporate actions affect accounts and positions.
- Strong PRD craft: field-level definitions, calculation formulas, state machines, and complete edge-case coverage; fluent written and spoken English.
- Way of working: responsive, self-driven, comfortable with ambiguity, and able to deliver high quality within an established framework.
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