Overview
In this role you will produce timely P&L and market risk reports for the Front Office and senior management, ensuring robustness and accuracy. You will collaborate with Front Office, Risk, Valuation Control, Financial Control, Operations and Technology to strengthen controls and drive insights. You will interrogate data to support decision-making and pursue workflow improvements through technology. This position sits within the EMEA Equity Derivatives team and offers exposure to senior stakeholders and a pathway to grow in a dynamic market. You will contribute to a culture of continuous improvement and make an impact in equity markets.
Responsibilities
- Produce daily P&L and Market Risk exposure reporting to Front Office
- Provide detailed analysis of P&L drivers to Front Office heads and senior Finance management
- Coordinate across front and back office functions to resolve control and reporting issues timely
- Partner with the business to implement robust controls and new initiatives
- Assist with month-end close processes
- Handle ad-hoc requests
Key requirements
- Experience in Product Control, Audit, Valuations or related area
- Bachelor’s degree, preferably in Finance, Accounting, Business or related area
- Experience/understanding of derivative products and financial theory
- Strong analytical skills with attention to detail and a strong control focus
- Excellent communication skills and ability to develop strong working relationships
- strong communication
- attention to detail
- analytical mindset
- Python
- Alteryx
- Tableau
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