- Experience
- Any
- Salary
- —
- Openings
- 1
- Posted
- 3 weeks ago
- Work mode
- Work from home
- Eligibility
- Professionals with a strong fixed-income, investment management, or portfolio management background who can work remotely and collaborate with engineering, compliance, risk, and treasury stakeholders in an institutional digital-asset environment.
- Resume
- Required to apply
Job description
Company Overview
CryptoDeposit.Org is a compliance-first stablecoin deposit protocol built for institutions, auditors, and regulators that need fixed obligations, defined maturity dates, and transparent balance-sheet treatment. The platform creates tokenized bills that represent fixed-term, fixed-rate obligations using an architecture that combines server-side relay with smart-contract execution.
Its infrastructure brings together on-chain issuance and redemption, treasury contracts that track claims and liabilities, compliance and Travel Rule registries, authenticated server controls, HSM/KMS-ready signing, double-entry accounting, replayable event indexing, and strong reconciliation between ledgers and the live chain state. In contrast to anonymous or pool-based yield systems, the protocol is designed to place compliance and auditability directly into the asset lifecycle so the product is easier to explain to risk committees and regulators. The wider compliance-operations stack and complete customer KYC/KYB onboarding are still being developed as the platform evolves.
Role Summary
The Head of Fixed Income will own the design, delivery, and ongoing oversight of fixed-income strategies within CryptoDeposit.Org’s stablecoin deposit framework. The position is responsible for making sure products stay aligned with institutional risk standards, regulatory expectations, and portfolio goals.
This is a full-time remote role focused on building investment policies for tokenized fixed-term bills, managing portfolio risk and return, and working closely with engineering and compliance teams so the protocol behaves in line with fixed-income market practice. The role also includes tracking market conditions and interest-rate trends, defining pricing and yield curves, and supervising trading activity tied to stablecoin-backed instruments and reserve assets.
In addition, the position calls for developing and refining analytical models, joining discussions with institutional clients and risk committees, and contributing to strategic decisions around liquidity management, maturity buckets, and reserve allocation. Cross-functional collaboration, documentation of investment frameworks, and mentorship of team members are also part of the day-to-day scope.
Responsibilities
- Shape and oversee fixed-income investment strategy for tokenized deposit products.
- Develop policy frameworks for fixed-term, fixed-rate bills and related reserve structures.
- Manage portfolio risk, return objectives, liquidity needs, and maturity profiles.
- Monitor market developments, interest-rate movements, and yield-curve dynamics.
- Set pricing approaches and yield assumptions for stablecoin-backed instruments.
- Coordinate with engineering and compliance teams to ensure product mechanics support institutional requirements.
- Supervise trading and execution activity connected to reserves and fixed-income exposures.
- Build and improve analytical and quantitative models to support decision-making.
- Participate in client, regulator, and risk-committee discussions as needed.
- Document investment processes, frameworks, and operating assumptions.
- Contribute to treasury planning, reserve allocation, and liquidity management.
- Guide and mentor teammates involved in the broader fixed-income function.
Requirements
- Deep background in investment management and portfolio management, especially fixed-income and risk-managed yield strategies.
- Hands-on experience with investment strategy design, pricing, and structuring of fixed-term, fixed-rate products.
- Practical trading knowledge across fixed-income markets and related digital-asset instruments, including execution and liquidity considerations.
- Strong understanding of yield curves, duration, credit risk, and balance-sheet effects for institutional portfolios.
- Exposure to digital assets, stablecoins, DeFi, and the connection between on-chain finance and traditional fixed-income instruments.
- Experience working alongside compliance, risk, and treasury functions, with awareness of KYC, KYB, and regulatory expectations for institutional participants.
- Excellent quantitative, analytical, and modeling capabilities, with the ability to work from data.
Additional Information
This position is listed as full-time and remote. The workplace location is Doha, Qatar. No salary, stipend, opening count, start date, or application deadline was provided in the source.