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JPMorgan Asia Equity Derivatives & Risk Product Controller 
China, Hong Kong, Kowloon 
4949233

14.09.2024

As an Equities Derivatives Group and Market Risk Reporting Product Controller – Associate, you will provide support to the financial controllers and trading desks to ensure that the risk, Profit & Loss, balance sheet and month end close procedures are done correctly and accurately. You will have the opportunity to assist with daily risk, Profit & Loss reporting, provide detailed analysis on the financials, and coordinate across various front & back office support functions.You will promote risk, profit and loss accuracy, ensure precise balance sheet management and streamline month-end close procedures as part of our Product Control team. This role will allow you to develop strong working relationships and enhance your analytical skills.

Job Responsibilities:

  • Assist with daily risk, P&L reporting and month-end close processes
  • Understand key risk measures (such as Greeks) and risk metrics (such as VaR and Stress)
  • Monitor Equities trading limits, maintain limit framework and escalate/explain limit breaches to risk managers
  • Support the production of daily VaR and weekly stress results
  • Provide detailed analysis and reporting on the risk and financials to desk heads, risk managers, business managers, and senior finance management
  • Partner with the business to drive forth and implement robust controls and new business initiatives
  • Drive coordination across various front & back office support functions to ensure resolution of control and reporting issues in an accurate and timely manner
  • Serve as an analytical and project support resource for product control
  • Handle various ad-hoc requests on a daily basis

Required qualifications, capabilities, and skills:

  • 3+ years experience within Product Control, Financial Control, Accounting, or related area
  • Experience doing P&L and month end close process
  • Solid understanding of financial products including derivatives
  • Knowledge of market risk metrics and financial products is required, knowledge on equity derivatives is a plus
  • High proficiency using Microsoft Office including but not limited to Excel (VBA) and Access
  • Bachelor’s degree in Accounting, Finance, Business or related area
  • Ability and drive to improve current processes and achieve efficiencies
  • Solid understanding of financial products would be advantageous
  • Strong analytical skills and attention to detail including a strong control focus
  • Self-motivated and comfortable working with large amounts of data
  • Excellent communication skills and ability to develop strong working relationships

Preferred qualifications, capabilities, and skills:

  • Understanding of tools such as Alteryx/Tableau