量化开发工程师
Quant Developer
你将设计、构建并运营区块链金融领域最大资产管理公司之一背后的策略。Gauntlet管理的客户总价值超过15亿美元,而这些资金所存放的金库运行的策略由我们团队的量化开发人员构建、部署并负责维护。这不是一个仅进行研究的职位,模型不会被转交给其他人的流程——你将设计策略、编写代码、部署它,并在生产环境中负责其运行。如果你希望在加入后几周内让你的模型在链上分配真实资本,请继续阅读。
关于Gauntlet
Gauntlet正在构建未来金融系统。虽然许多区块链金融项目专注于点对点解决方案,但我们则覆盖整个技术栈,提供行业领先的金库产品。目前,我们为一些最大的金融科技/数字银行、协议、交易所和资本配置者提供服务,管理的客户总价值超过15亿美元,并且越来越多地服务于传统资产管理领域。我们的团队汇聚了传统金融和原生加密货币的专业知识,为机构客户提供持久且复杂的解决方案,帮助他们迁移到链上。
该职位
根据你的背景和兴趣,你将加入我们的一个金库策略团队。我们的策略涵盖借贷与信用筛选、跨链收益聚合、结构化产品、现实资产(RWAs)等。团队负责完整的策略生命周期:研究与协议尽职调查、策略设计与回测、配置与再平衡引擎、链上执行与优化,以及实时持仓的24/7监控。你将全程负责策略的运行,并对其表现、安全性和可用性负责。
请注意,目前我们的招聘仅限于能够在美加 contiguous 地区工作的候选人。如需其他工作安排,请在申请中注明。
该职位的全国薪资范围为17.5万至20万美元的基本工资,加上按级别和股权的额外目标收益。我们的薪资范围基于为同规模和行业的公司提供具有竞争力的薪酬,是我们在薪酬、福利和其他奖励机会方面众多组成部分之一。个人薪资决定将基于多个因素,包括岗位资格、经验水平、技能集,以及与公司内部同行的平衡。
#LI-Remote
你将负责:
- 设计并发布金库策略:从策略的理论和设计文档开始,经过实现、模拟、部署到生产环境,确保策略的高效运行。
查看英文原文
You will design, build, and operate the strategies behind one of the largest asset managers in onchain finance. Gauntlet serves $1.5B+ in client TVL, and the vaults that hold it run on strategies that quant developers on our team build, ship, and stand behind. This is not a research seat where models get handed off to someone else's pipeline — you design the strategy, write the code, deploy it, and own it in production. If you want your models allocating real capital onchain within weeks of joining, read on.
About Gauntlet
Gauntlet builds the financial systems of the future. While much of onchain finance is focused on point solutions, we operate across the entire stack to offer best-in-class vault products. Today we serve over $1.5B in client TVL across some of the largest fintechs/neobanks, protocols, exchanges, and capital allocators in crypto — and, increasingly, traditional asset management. Our team brings together traditional finance and crypto-native expertise to deliver durable, sophisticated products for institutional clients moving onchain.
The role
Depending on your background and interests, you'll join one of our vault strategy teams. Our strategies span lending and credit curation, cross-chain yield aggregation, structured products, RWAs, and more. Teams own the full strategy lifecycle: research and protocol due diligence, strategy design and backtesting, allocation and rebalancing engines, onchain execution and optimization, and 24/7 monitoring of live positions. You own strategies end-to-end and are accountable for their performance, safety, and uptime.
Please note at this time our hiring is reserved for potential employees who are able to work within the contiguous United States and Canada. Should you need alternative accommodations, please note that in your application.
The national pay range for this role is $175,000 – $200,000 base plus additional On Target Earnings potential by level and equity in the company. Our salary ranges are based on paying competitively for a company of our size and industry, and are one part of many compensation, benefits, and other reward opportunities we provide. Individual pay rate decisions are based on a number of factors, including qualifications for the role, experience level, skill set, and balancing internal equity relative to peers at the company.
#LI-Remote
What you'll do;
- Design and ship vault strategies: take a strategy from thesis and design doc through implementation, simulation, deployment, and live operation — RWAs, leveraged lending, yield aggregation, cross-protocol allocation, perpetuals, prediction markets, and new product types we haven't built yet.
- Optimize strategies: signals research, execution optimization, gas-aware rebalancing across tokens and chains, liquidity and duration management.
- Run protocol and asset due diligence: evaluate new protocols, collateral assets, and chains for inclusion in strategies — solvency mechanics, oracle design, redemption paths, liquidity depth, and more.
- Own risk parameters: supply caps, LLTV settings, concentration limits, VaR-based exposure models, and automated de-risking logic that pulls positions when conditions deteriorate.
- Integrate new protocols and chains: build and validate adapters for lending markets, DEX aggregators, and bridges; verify strategy behavior against forked-chain simulation before capital touches it.
- Monitor what you build: extend our risk-monitoring and alerting systems, define the conditions that page someone, and participate in the on-call rotation for the strategies you own.
- Support launches and clients: partner with growth, capital markets, and client teams on new vault and strategy launches.
What you bring;
- A track record of building quantitative systems that run in production — algorithmic trading, portfolio optimization, market making, or risk systems at a trading firm, asset manager, fintech, or crypto-native company. This is often 2–8 years of experience, but we weight what you've built over years on a résumé.
- You write the code behind your strategies. Strong Python and solid software-engineering fundamentals: testing, code review, and the judgment to build durable abstractions rather than one-off scripts. This is a hands-on, quantitative role — not a discretionary trading seat.
- Applied quantitative skills: optimization, statistics, and simulation, and the instinct to validate models against real data before trusting them.
- Comfort with data infrastructure: SQL and experience building or consuming data pipelines.
- Production ownership: you've debugged live systems under pressure and understand that a strategy managing other people's money has to be correct, monitored, and recoverable.
- Clear technical communication.
Bonus points
- Hands-on DeFi experience: lending protocols, ERC-4626 vaults, AMMs, or oracle systems — as a builder or a sophisticated user.
- Solidity / EVM literacy: reading protocol contracts, forked-chain simulation (anvil), or writing adapters; non-EVM experience (e.g., Solana) also valued.
- On-chain operational experience: multisig workflows, transaction submission and signing infrastructure, bridging.
- TypeScript, and familiarity with a modern data stack (e.g., BigQuery, Dagster, Hex, GCP/Kubernetes).
- Experience with risk modeling for volatile or thinly-traded assets: VaR, liquidation modeling, stress testing.
Who thrives here;
- Wants end-to-end ownership — research, code, deployment, and the pager — not a hand-off between research and engineering.
- Comfortable that crypto markets don't close. Strategy owners take on-call seriously, and the occasional market-event night is part of the job; we staff and rotate to keep it sustainable.
- Operates well in ambiguity: can take "we should have a strategy for X" and return a scoped design, not a list of questions — and is comfortable in a fast-moving space where priorities and team structure evolve.
- Holds a genuine risk view and voices it — including "we shouldn't do this" when the analysis says so.
- Pragmatic about shipping: balances rigor against client timelines without cutting corners on safety.
- Naturally curious about digital assets and DeFi. Deep crypto experience is not required — curiosity and strong quant fundamentals are.
Benefits & perks;
- Remote first — work from anywhere in the US & Canada
- Regular in-person company retreats and cross-country "office visit" perk
- 100% paid medical, dental, and vision premiums for employees
- $1,000 WFH stipend
- Monthly reimbursement for home internet, phone, and cellular data
- Unlimited vacation
- 100% paid parental leave of 12 weeks
- Fertility benefits
- Opportunity for incentive compensation