Location: Fully Remote or Hybrid (Preference for Dubai, hybrid)
Reporting to: Head of Systematic Trading Technology
About AlgoQuant Asset Management
Developer – Systematic Trading Location: Fully Remote or Hybrid (Dubai preferred) Reporting to: Head of Systematic Trading Technology
AlgoQuant Asset Management is a technology and AI native digital asset manager built on rigorous quantitative research, advanced execution infrastructure, and disciplined risk management. Originating as a proprietary trading firm, we operate latency-sensitive, capital-at-risk systems across centralized and decentralized markets.
The Role
- Build core DeFi backend and execution systems bridging on-chain and off-chain infrastructure
- Own protocol integrations end-to-end: data, execution, monitoring, and reliability
- Operate production systems in failure-intolerant, real-capital environments
- Contribute to architecture and next-generation on-chain infrastructure initiatives
What You’ll Work On
- On-chain monitoring, indexing, and deterministic position-state systems across chains
- Automated DeFi execution layers including atomic flows and advanced strategies
- Real-time risk controls, alerts, and cross-system guardrails
- Multi-chain operations including bridging, reorg-aware pipelines, and state rebuilds
Requirements
- 5+ years Python plus Rust, C#, or Java building concurrent, latency-sensitive systems
- Deep DeFi expertise (AMMs, liquidity mechanics, yield strategies, protocol math)
- Strong execution engineering (transaction lifecycle, mempool behavior, MEV tradeoffs)
- Production operations experience (Docker, Kubernetes, CI/CD, observability)
Why Join
- Remote-first team with strong engineering ownership
- Direct collaboration with traders and quantitative researchers
- Greenfield DeFi infrastructure built from first principles
- High-impact role shaping the firm’s long-term on-chain strategy
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What We Do
At AlgoQuant, we're building the future of digital asset management; grounded in rigorous research, world-class technology and a relentless focus on performance. We began as a proprietary trading firm, developing sophisticated algorithmic strategies and operating in some of the most complex and fast-moving markets. That DNA remains at our core, but today we are evolving into a fully remote, globally distributed Investment Management business. This transformation reflects a broader ambition: to scale our edge, deliver institutional-grade results, and set new standards for the industry. Our quantitative environment is built to empower innovation, combining vast data capabilities, disciplined model development, and highly automated execution. Risk is embedded in every layer of our thinking, with robust measurement, control, and scenario analysis integrated into our systems and decision-making. Technology is not just a tool for us, it’s a core competency and a competitive advantage.








