Master’s degree in Quantitative Economics/Finance, Statistics, Data Science, Computer Science, or related field. 0-4 years of full-time professional experience in financial services. Proficiency in Python, SQL, version control (git), and statistical modeling. Strong understanding of (crypto) market microstructure and portfolio/risk concepts. Genuine interest in crypto/digital assets and on-chain market structure. Comfort collaborating with technical and non-technical stakeholders.