Our client is a top tier investment bank looking to expand its product control teams with hires across multiple levels. The product control function in the firm general involves responsibilities such as p&l and risk analysis, pricing, balance sheet management and reporting across OTC derivatives, fixed income, equities, rates, fx, and commodities.
Ideal candidates would be interested in joining a high-performing team consisting of top finance professionals, and should come in looking to challenge themselves and grow both professionally and personally. This firm offers a collegiate environment and strong benefits, and is a great place to set down roots for the long-run.
Accurate reporting of greeks and p&l to front office and senior management
Perform daily and weekly p&l substantiation through a risk-based explain
Analysis and explanation of the daily balance sheet, p&l preparation and reporting
Document procedures and explain results of adjustments in addition to reconciling and booking adjustments to the general ledger
Performing test cycles for system upgrades and change initiatives
Involvement in quarterly disclosure preparation and review process
Assist in the forecast and CCAR process
Work closely with various internal departments to resolve issues
Ad-hoc special projects as required
At least a Bachelor’s degree in Finance, Accounting or a related field
1-8 years in a product control function within financial services
Experience with at least one of credit, IR, fx, equity, commodities derivatives, but cross-asset knowledge highly preferred
Excellent communication and organizational skills, with a proven ability to problem-solve