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Institutional RWA Platform - Product Manager - DeFi, Yield, Risk

Hyphen Connect Limited

Hong Kong6mo ago

About the role

<p><strong>About the Company / Protocol</strong></p> <p>We are supporting a leading institutional-grade RWA (real-world asset) DeFi protocol focused on tokenized credit, real-yield products, and fully collateralized, composable primitives. Emphasis is placed on robust risk management, on-chain transparency, legal structuring, and credit enhancement to meet the standards of traditional financial institutions.</p> <p><strong>About the Role</strong></p> <p>Dual-hat senior role combining competitive product strategy with institutional-grade credit underwriting and portfolio management for a leading tokenized real-world asset (RWA) protocol.</p> <p>Two core mandates:</p> <ol> <li>Product/Token level → Design the next generation of yield-bearing tokenized credit products that are clearly win on risk-adjusted return vs. the rest of the market</li> <li>Collateral level → Build and run a proper institutional credit investment process (research → due diligence → onboarding → ongoing monitoring) for hundreds of millions (eventually billions) in traditional-finance collateral</li> </ol> <p><strong>Key Responsibilities</strong></p> <p>Product &amp; Competitive Intelligence</p> <ul> <li>Continuous tracking and reverse-engineering of competing tokenized credit / RWA yield products across all major protocols</li> <li>Identify gaps in the market and propose new yield-bearing tokens with differentiated risk/return and structural edge</li> <li>Build both the investment thesis and the commercial/competitive positioning for each new product</li> <li>Partner with marketing/intelligence team on upcoming launches and narrative timing</li> </ul> <p>Credit Investment &amp; Portfolio Management</p> <ul> <li>Design and implement institutional-grade due diligence frameworks for private credit, structured credit, treasuries, and other real-world collateral</li> <li>Lead legal, financial, and operational due diligence on new collateral pools or funds</li> <li>Author investment memos / proposals for executive team and (eventually) governance/token holders</li> <li>Build ongoing risk-monitoring dashboards and reporting (both internal and on-chain transparency)</li> <li>Work cross-functionally with quant/dev, legal, risk, and ops teams to automate processes wherever possible</li> </ul> <p><strong>Requirements</strong></p> <ul> <li>5–10+ years in private credit, fixed income, structured finance, or credit fund roles at a bank, hedge fund, credit fund, asset manager, or rating agency<br>(ex: Goldman/BlackRock/JPM credit research or trading, Ares/Oaktree/Apollo, Monroe Capital, etc.)</li> <li>Direct experience underwriting or monitoring loans, CLOs, ABS, corporate credit, trade finance, or similar</li> <li>Already active in the RWA/DeFi credit space (you know the difference between good and bad tokenization structures)</li> <li>Ability to write clear, concise investment memos that both crypto natives and tradfi credit committees respect</li> <li>Bonus: prior structuring or product development experience on tokenized funds or yield products</li> <li>Mandarin fluency is a significant advantage</li> <li>Location: Fully remote — strong preference for North America (NYC/SF/Chicago) or Asia-Pacific (Singapore/HK/Taiwan/Seoul/Tokyo) time zones</li> </ul>

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