Senior Brokerage Systems Engineer - Trading & Accounting

Matrixport

Kuala Lumpur

On-site

MYR 180,000 - 300,000

Full time

14 days+
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Job summary

BIT is seeking an experienced backend/system engineer to design and implement the core infrastructure for trading, accounting, and settlement. You will lead integration with clearing brokers and execution venues while developing broker-level accounting systems and end-of-day reconciliations.

You will design and iterate risk engines for margin and liquidation, and oversee deposit/withdrawal flows to ensure fund safety.

Qualifications

  • Bachelor's degree in Computer Science or related field.
  • 5+ years of backend/distributed systems development experience, with 3+ years in core systems at a securities firm or exchange.
  • Familiar with full order lifecycle and OMS/EMS design; proficient with FIX protocol and FIX Engine integration.
  • Deep understanding of clearing, settlement, and accounting mechanisms; hands-on experience building broker-level accounting systems.
  • Strong engineering能力 and good communication skills in English and Chinese.

Responsibilities

  • Design and implement core system architecture for trading, accounting, and settlement.
  • Lead system integration with Clearing Brokers and Execution Venues.
  • Build broker-level accounting and end-of-day reconciliation system aligning with clearing parties and regulators.
  • Design risk engines for margin, liquidation logic, and asset transfer flows to ensure fund safety.
  • Ensure high availability, disaster recovery, and cross-functional collaboration with compliance, operations, and product teams.

Skills

Distributed systems
Backend development
Cross-functional collaboration
English & Chinese communication
System design & architecture

Education

Bachelor's degree in Computer Science or related field

Tools

FIX Engine

Job description

BIT is seeking an experienced backend/system engineer to design and implement the core infrastructure for trading, accounting, and settlement. You will lead integration with clearing brokers and execution venues while developing broker-level accounting systems and end-of-day reconciliations.

You will design and iterate risk engines for margin and liquidation, and oversee deposit/withdrawal flows to ensure fund safety.

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