Review daily P&L, P&L attribution, P&L commentary, flash to formal differences and manual adjustments
Develop a sound understanding of risk positions through detailed discussion with traders and risk managers on risk positions so that an appropriate P&L model is deployed with focus on key risk items and market moves
Perform insightful financial analysis to draw sound conclusions to present to senior stakeholders in onshore PC locations and Financial Control
Ensure that the teams KPI and SLA are met.
Attend to ad hoc queries from the traders and other infrastructure partners relating to trading revenue and balance sheet
Foster a culture of performance improvement by serving as a lead for recommendations and be accountable for the delivery of qualitative and efficiency benefits from direct reports
5-7 years of product control experience in a top tier investment bank
Article shipin mid to large sized firms
Audit exposure in large financial institutions / banks preferred
Technical knowledge / skills:
Good knowledge of financial product and markets of the relevant asset class and ability to learn
Good understanding of end-to-end processes of an IB and associated controls
Excellent communication and presentation skills in both formal and informal settings & ability to interact with the region and UK / US as part of a global team (written and verbal)
Excellent time management skills and ability to priorities
Strong control awareness
Confident and assertive manner
Ability to work independently with a spectrum of people from junior finance staff to front office business heads.
Proactive and change focused with problem solving ability.
Mature and able to negotiate through difficult situations
Ability to drive the teams agenda in large forums spread across various locations.
Good influencing and negotiation skills and excellent communication and interpersonal skills.
Displays enthusiasm, initiative and diligence.