Our client, a leading Investment Bank, is looking for an experienced Product Controller to take their career to the next level by rising to the challenge within the Credit and Equity Derivatives space.
This Middle Office supports the Chief Investment Office, a global proprietary trading business and cross asset-class manager for the Company as a whole. CIO currently manages all of the Company’s global structural interest rate and forex risk as well as taking proprietary positions in fixed income, forex, interest rate derivatives, credit derivatives and equity derivatives.
The key responsibilities for the P&L/Accounting Analyst include: Agreeing and reconciling traders P/L and Risk estimates to the actual results, explaining variances to traders’ satisfaction - Performing front to back position reconciliations for all products traded by CIO - Monitoring positions against Market Risk limits - Swift resolution of trade related issues & oversight of the transaction cycle.
The ideal candidate should have knowledge of Equity Derivatives, and a strong personality with good communication skills and the ability to argue your case with the front office. This is a small team so it offers great exposure to the trading floor.