Monitoring Specialist

HireMe.ph

Quezon City

On-site

PHP 350,000 - 520,000

Full time

14 days+
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Job summary

HireMe.ph in the Philippines is seeking a detail-oriented Operations Monitoring analyst for spot and derivatives trading to monitor duty shifts and promptly identify anomalies in market data, price feeds, and trading activity.

You will quickly determine root causes, distinguish false positives from real issues, and coordinate with risk, parameters, and tech teams to resolve incidents, ensuring a timely, well-documented response.

Qualifications

  • Bachelor’s degree or above; finance/math/CS/data analysis preferred.
  • Strong numerical sense and market risk awareness.
  • Detail-oriented with ability to verify configurations before/after changes.
  • Clear written communication and handover skills.

Responsibilities

  • Monitor duty shifts for spot and derivatives trading operations.
  • Identify anomalies: market data interruptions, price deviations, funding rates, liquidity issues.
  • Determine root cause and respond according to priority.
  • Escalate significant events with ownership and resolution.

Skills

Anomaly detection
Risk awareness
Attention to detail
Communication

Education

Bachelor's degree or higher

Job description

Job Responsibilities


  1. Responsible for monitoring and duty shifts for spot and derivatives (contract) trading operations, promptly identifying and following up on the following anomalies:

    • Market data or price feed interruptions

    • Deviations between internal and external prices

    • Abnormal funding rates

    • Anomalies in trading pairs and trading precision

    • Liquidity and balance anomalies

    • Anomalies in the monitoring system itself



  2. Quickly determine the root cause of alerts, distinguish genuine anomalies from false positives, and respond and resolve issues promptly according to priority.

  3. Follow up on abnormal market volatility, market data source interruptions, low liquidity, and other market conditions; coordinate with the parameters, technical, and risk control teams to resolve issues.

  4. Escalate significant market events or risks in a timely manner, ensuring every issue has a response, an owner, and a resolution.


Requirements


  1. Bachelor's degree or above; majors in finance, mathematics, computer science, data analysis, or related fields preferred.

  2. Sensitive to numbers and price movements, with strong risk awareness and the ability to judge anomalies.

  3. Detail-oriented, able to strictly follow operating procedures, and to verify configurations before and after making changes.

  4. Strong sense of responsibility and time-sensitivity, able to maintain accurate judgment in a high-frequency alert environment.

  5. Clear written communication and handover skills, able to accurately explain \"what happened, how it was handled, and what risks remain.\"\
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