Portfolio Manager
BIP32 Venture is a thesis-driven venture capital firm focused on investing in digital assets and Web3. It engages in primary market investment, project incubation, and brand marketing for blockchain projects, serving early-stage crypto companies and founders across DeFi, GameFi, NFT infrastructure and Layer 1/Layer 2 ecosystems.
About BIP32 Venture
BIP32 Venture is a thesis-driven Venture Capital firm dedicated to investing in digital assets and Web3, with its head office in the United Kingdom and operational branches in Shanghai, China and Toronto, Canada. The firm focuses on primary market investment, project incubation, brand marketing planning, and helping overseas projects expand into diverse markets. Over the years, BIP32 Venture has backed more than 20 early-stage companies across DeFi, GameFi, NFT infrastructure and Layer 1/Layer 2 ecosystems, consistently delivering exceptional returns for its partners. Its team of seasoned investors, analysts and builders is committed to long-term value creation, collaborating closely with ambitious founders and helping their portfolio companies develop clear, engaging communication strategies to achieve business objectives.
Skills
About the Role
You will oversee post-investment strategy for the fund's APAC portfolio companies, serving as the primary point of contact between the fund and its portfolio companies. You will manage token allocations, vesting schedules and liquidity events across centralized and decentralized exchange ecosystems, ensuring each project receives the operational support it needs to maximize value creation. You will coordinate directly with founders, legal counsel, exchange listing teams and market makers to navigate token launches, secondary market liquidity and governance participation.
Requirements
- Minimum three years of experience in digital asset portfolio management, crypto trading or token operations
- Deep familiarity with centralized exchange listing processes for platforms including Binance, OKX, Gate.io and KuCoin
- Understanding of DEX liquidity mechanics, impermanent loss mitigation and LP management
- Experience working with token vesting contracts, multi-sig wallets and on-chain governance systems
- Fluency in Mandarin and English is required for managing cross-border communications
- Strong organizational skills with the ability to manage multiple concurrent projects in a fast-paced environment
- Network of contacts across the APAC blockchain ecosystem including exchanges, projects and regulatory bodies
Responsibilities
- Manage post-investment relationships with 15 or more portfolio companies across the APAC region
- Monitor and optimize token vesting schedules, lockup periods and OTC disposition strategies
- Coordinate centralized exchange listings including documentation, compliance requirements and listing fee negotiations
- Oversee liquidity provision strategies on decentralized exchanges and automated market makers
- Track portfolio performance metrics including token price, FDV, TVL and active user growth
- Facilitate introductions between portfolio companies and strategic partners including other VCs, exchanges and infrastructure providers
- Support portfolio companies in governance decisions and protocol upgrade proposals
- Prepare monthly portfolio performance reports for the fund's limited partners
- Identify follow-on investment opportunities within existing portfolio companies
Benefits
- Performance bonuses tied to portfolio value creation and liquidity event outcomes
- Full relocation support for qualified candidates moving to Shanghai
- Direct access to senior fund leadership and participation in investment committee discussions
- Budget for travel to major APAC blockchain events including Token2049, Korea Blockchain Week and others
