HashKey Capital is seeking an entrepreneurial and execution-driven Product Director to spearhead the ideation, structural design, and commercial execution of systematic, leveraged, and thematic secondary market investment products.
We are looking for an individual with a verifiable, hands-on track record of building and launching investment products from 0 to 1. You will translate sophisticated financial mechanics into institutional-grade digital asset vehicles and investment strategies.
You will have total ownership across the entire product lifecycle: from initial quantitative modeling, index methodology, and rebalancing logic, to regulatory structuring, ecosystem partnerships, and scaling market liquidity.
Key Responsibilities
- Take full ownership of the product delivery pipeline, turning strategy concepts into fully operational products—defining specifications, user flows, execution logic, and operational readiness from initial concept through public release.
- Deeply analyze proven models from traditional capital markets—such as synthetic replication, leveraged/inverse mechanics, benchmark-tracking indices, and dynamic factor allocations—and rapidly adapt their logic to digital asset management product dynamics.
- Closely monitor market phases (momentum cycles, range-bound environments, liquidity contractions) to identify unmet market demand; rapidly adjust product parameters, launch targeted seasonal variants, and sunset or upgrade existing vehicles to maintain strong product-market fit.
- Continuously track live product health metrics,using live operational data and investor feedback to optimize product mechanics in subsequent releases.
- Partner with business development and operations teams to establish clear product documentation, transparent methodology sheets, and intuitive user-facing explanations that accelerate commercial adoption and drive secondary market liquidity.
- Construct and refine the core methodologies governing portfolio allocation, programmatic rebalancing frequency, dynamic exposure multipliers, and tracking efficiency across volatile conditions.
Qualifications & Requirements
- 8+ years of professional experience in institutional asset management, quantitative hedge funds, or other related financial institutions.
- Direct, demonstrable success in taking novel financial products, programmatic investment strategies, or structured/index vehicles from whitepaper/concept all the way through to commercialization and live asset management scale.
- Robust expertise in portfolio theory, index replication methodologies, tracking error management, and secondary market liquidity dynamics. Solid working knowledge of crypto market dynamics, trading venues, and digital asset ecosystem operations.
- High market responsiveness with the ability to quickly evaluate emerging trends, define MVP specifications, and prioritize product updates based on real user feedback and evolving market conditions.
- Exceptional verbal and written English communication skills, with a talent for translating complex financial product mechanics into clear, concise specifications and presentations.