As the Financial Analysis Professional in our Product Control
team, you will spend each day defining, refining and delivering set goals for our firm.
As a Product Controller within the Chief Investment Office & Treasury team, you will play a crucial role in managing the Firm’s Structural Interest Rate and FX risks and conservatively investing the Firm’s excess deposits. You will be responsible for the production and substantiation of P&L and Risk to CIO/Treasury FO/Management, perform various control reconciliation/reporting, and contribute to new business initiatives. This role provides an opportunity to work closely with various stakeholders and contribute to firm-wide initiatives.
Job responsibilities:
- Produce and substantiate P&L and Risk to CIO/Treasury FO/Management. Obtain timely sign-off of P&L/Risk and provide support for any ad hoc requests/queries from various stakeholders
- Perform various control reconciliation/reporting to ensure integrity and accuracy of all Corporate feeds impacting the business
- Perform Market Risk related monitoring & controls- including- updating/monitoring of risk limits, report clean P&L for VaR back testing, various risk reporting
- Perform credit risk related monitoring & controls include working in close partnership with Credit Risk & reporting teams, produce country risk reporting, monitoring and escalation of collateral valuation differences
- Perform selected month end P&L reconciliation and work closely with Finance Controllers team to ensure proper reconciliation of P&L & Balance Sheet
- Contribute to New Business initiatives including active participation to on-board a new product & defining MO work flow, analysis/advice around booking strategies & operational procedures. Understand & contribute to various control frameworks, i.e. Control Self Assessment (CSA), Sarbanes Oxley (SOX) & Business Control Committees (BCC’s). Coordinate front-to-back system & process setup
- Participate and contribute to firm-wide initiatives which includes global projects on re-engineering risk management & back office system, improvement on reporting analytics on market, credit & country related. Understand the mechanics of transfer pricing policies/procedures and work closely with BM/Controllers for implementation. Work in close partnership with various stake holders i.e. Markets risk, Finance, BM, VCG, other LOB controllers, Technology & PMO on BAU/adhoc management requests
Required qualifications, capabilities and skills:
- Degree Holder major in Finance, Accounting, Risk e.g. CPA, CFA, FRM or other management discipline
- Minimum 4 years working experience in Middle Office, Market Risk, Finance or Product Control
- Good communication skills, robust and credible partner with all stakeholders
- Good product knowledge in fixed income and Treasury products
Preferred qualifications, capabilities and skills:
- Thorough understanding of transaction cycle, infrastructure & associated operational and financial processes and controls
- Previous experience in MS VBA and database is an added advantage