JustMarkets Tech
Product Manager (Trading Core and Infrastructure)
RemoteEUEurope
- Role
- Product
- Experience
- Senior
- Employment
- Full-time
Salary not disclosed
Check eligibility
Open to Anywhere in EU & Europe. Set where you work from to check your eligibility.
No BS summary
Senior Product Manager for Trading Core and Infrastructure in Europe. Requires deep knowledge of market microstructure, FIX API, and financial risk management. Must have experience in Crypto Exchange, CFD, or HFT environments translating complex financial logic for backend engineers.
Core skills
Market MicrostructureFIX APIRisk Management
Required skills
Order Matching AlgorithmsLiquidity AggregationBridging TechnologiesFinancial Risk ManagementMargin CalculationsLiquidation MechanicsValue at Risk (VaR)A/B/C-book Operating ModelsFee EnginesRebate StructuresFinancial ReconciliationSystem ArchitecturesBare-metal InfrastructureLatency-sensitive Network DesignStress TestingHistorical Analytics
Optional skills
Background in quantitative finance, financial engineering, or backend software developmentDeep knowledge of MetaTrader 4/5 core infrastructure and pluginsExperience with Crypto Options pricing models and On-Chain/DEX routing protocols
Required languages
English native
Responsibilities
- Define the roadmap for Infra & Liquidity, Risk Tech, and Commerce Tech domains, working alongside Engineering Directors and Quants
- Write highly detailed, edge-case-heavy PRDs for backend systems (e.g., defining the exact mathematical logic for cross-margin liquidations during high volatility)
- Collaborate with the Risk Management and Dealing departments to build internal tools that allow them to monitor exposure and combat toxic trading in real-time
- Oversee stress tests and historical analytics to ensure the core infrastructure can handle extreme market events (e.g., crypto flash crashes)
Requirements
- Experience in a highly technical backend role within a Crypto Exchange, CFD, Prop Trading Firm, or HFT environment
- Deep knowledge of market microstructure, order matching algorithms, liquidity aggregation, FIX API, and bridging technologies (e.g., PrimeXM, OneZero)
- Strong understanding of financial risk management: margin calculations, liquidation mechanics, Value at Risk (VaR), and A/B/C-book operating models
- Solid technical foundation: ability to understand complex system architectures, bare-metal infrastructure, and latency-sensitive network design
- Experience in defining complex fee engines, rebate structures, and financial reconciliation processes
- Analytical Rigor: Exceptional quantitative skills and a data-driven approach to solving complex financial logic problems
- High Stress Tolerance: You are managing the core engine where a single bug can cost millions. You must be calm, structured, and risk-aware
- Translation Master: Ability to seamlessly translate complex mathematical/financial concepts from quants and risk managers into clear PRDs for backend engineers
Will be a plus
- Background in quantitative finance, financial engineering, or backend software development
- Deep knowledge of MetaTrader 4/5 core infrastructure and plugins
- Experience with Crypto Options pricing models and On-Chain/DEX routing protocols
We offer
- 20 paid vacation days per year
- 10 paid sick leave days per year
- Public holidays as per the company’s approved Public holiday list
- Medical insurance
- Opportunity to work remotely
- Professional education budget
- Language learning budget
- Wellness budget (gym membership, sports gear and related expenses)
Apply for Product Manager (Trading Core and Infrastructure)
What you'll do
- Define the roadmap for Infra & Liquidity, Risk Tech, and Commerce Tech domains, working alongside Engineering Directors and Quants
- Write highly detailed, edge-case-heavy PRDs for backend systems (e.g., defining the exact mathematical logic for cross-margin liquidations during high volatility)
- Collaborate with the Risk Management and Dealing departments to build internal tools that allow them to monitor exposure and combat toxic trading in real-time
- Oversee stress tests and historical analytics to ensure the core infrastructure can handle extreme market events (e.g., crypto flash crashes)
What they require
- Experience in a highly technical backend role within a Crypto Exchange, CFD, Prop Trading Firm, or HFT environment
- Deep knowledge of market microstructure, order matching algorithms, liquidity aggregation, FIX API, and bridging technologies
- Strong understanding of financial risk management: margin calculations, liquidation mechanics, Value at Risk (VaR), and A/B/C-book operating models
- Solid technical foundation: ability to understand complex system architectures, bare-metal infrastructure, and latency-sensitive network design
- Experience in defining complex fee engines, rebate structures, and financial reconciliation processes
- Analytical Rigor: Exceptional quantitative skills and a data-driven approach to solving complex financial logic problems
- High Stress Tolerance: Ability to manage the core engine where a single bug can cost millions
- Translation Master: Ability to seamlessly translate complex mathematical/financial concepts from quants and risk managers into clear PRDs for backend engineers
Benefits
- 20 paid vacation days per year
- 10 paid sick leave days per year
- Public holidays as per the company's approved Public holiday list
- Medical insurance
- Opportunity to work remotely
- Professional education budget
- Language learning budget
- Wellness budget (gym membership, sports gear and related expenses)
building a high-performance trading platform
Fintech
Salary not disclosed