Position: Investment Analyst in DeFi Analyze, design, and optimize DeFi strategies with a focus on delta-neutral yield and risk management. Responsibilities: - Evaluate protocols across multiple categories, including CEXs/DEXs, perpetuals, tokenized equities, money markets, yield aggregators, and related infrastructure. - Track and interpret key metrics such as TVL flows, liquidity depth, token unlocks, funding rates, and pool utilization across different chains. - Prepare investment memos and risk reports outlining opportunities, red flags, and expected returns. - Pull, structure and analyze onchain data from various sources. - Design and evaluate yield-farming and delta-neutral strategies. - Build internal dashboards to monitor positions, yields, funding rates, liquidity depth, and overall protocol performance. Requirements: - Highly analytical mindset and deep curiosity about how the crypto and DeFi ecosystem works. - Comfortable working independently, synthesizing complex information, and forming clear, well-reasoned conclusions. - 1+ year of experience in DeFi research, on-chain analytics, or yield strategy design. - Strong understanding of core DeFi primitives: AMMs, perpetuals, lending protocols, bridges, liquidation mechanics, and funding rates - Solid analytical skills in tokenomics and valuation frameworks. - Hands-on experience with blockchain explorers, Dune, DeFiLlama, Nansen, Arkham, or similar platforms. - Familiarity with onchain data (RPC queries, events/logs) and reading basic Solidity code. - Strong understanding of risk frameworks, including protocol mechanics, smart-contract risk, oracle and manipulation risk, economic risk, and MEV exposure. - English proficiency at B2 level or higher (reading and writing). Bonus: - Deep understanding of the options market. - Up-to-date market knowledge, including the ability to clearly explain how protocols such as Pendle or Yieldbasis work.