As the EMEA Equities Derivaties Product Controller you will be responsible for producing a substantiated T+1 P&L and Market Risk to the Front Office and senior management. Other responsibilities include performing reconciliations and resolving issues that impact the P&L/Risk as well as assisting with the smooth closure of month end P&L.
Your role requires extensive interaction with Front Office traders, Financial Control and Operations, as well as with Market Risk Coverage, Project teams, and various other functions throughout the bank.
Job Responsibilities
- Assist with daily P&L reporting and month-end close processes
- Provide accurate and timely Market Risk Analysis and daily reporting
- Produce commentary for P&L and Balance Sheet across legal entities to both internal and external stakeholders
- Provide detailed analysis and reporting on the financials to desk heads, 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
- Own P&L/Risk adjustments, ensuring appropriate comments and remediation.
- Serve as an analytical and project support resource for product control
- Handle various ad-hoc requests on a daily basis
- Support projects and process improvements
Required qualifications, capabilities, and skills
- Solid experience within Product Control, Financial Control, Accounting, or related area
- Experience doing P&L and month end close process
- Bachelor’s degree in Accounting, Finance, Business or related area
- Sound understanding of financial products would be advantageous
- Strong analytical skills and attention to detail including a strong control focus
- Excellent communication skills and ability to develop strong working relationships