Join our dynamic Corporate & Investment Bank Treasury team as a Product Controller and play a pivotal role in the growth and success of our leading Markets franchise. This exciting opportunity allows you to develop a strong understanding of structured products and funding markets while collaborating with various teams on projects and initiatives.
As a Product Controller in Corporate & Investment Bank, you will work closely with Treasurers, Technology, Quants, and Middle Office functions to develop a strong understanding of funding products and markets. You will play a key role in ensuring the integrity of financial statements, providing independent control of revenue reporting, and offering business advisory and accounting support. This is an excellent opportunity to collaborate with various Front and Back Office support functions and promote forth robust controls and new business initiatives.
Job responsibilities
Produce, prepare, report, and provide commentary of the daily Profit & Loss (P&L) and RiskProvide comprehensive P&L attribution breakdown analysis and address residualsComplete deal activity P&L review, analysis and summary of significant new transactionsProvide detailed analysis and reporting of P&L adjustments, reserves, and financials to desk heads, business managers, and senior finance managementPartner with the business to implement robust controls and new business initiativesCoordinate directly across various front and back office support functions to ensure resolution of control and reporting issues accurately and timelyServe as an analytical and project support resource for Product ControlHandle various time sensitive ad-hoc requests dailyManage projects and initiatives related to all of the above, as well as larger cross-business programsRequired qualifications, capabilities, and skills
5 years of experience within Product Control, Financial Control, Accounting, or related areaBachelor’s degree in Accounting, Finance, Business or related areaStrong analytical skills and attention to detail including a strong control focusExcellent communication skills and ability to develop strong working relationships with variety of stakeholdersStrong technical skills using Excel and PowerPointPreferred qualifications, capabilities, and skills
Previous direct Profit & Loss (P&L) or risk experience Solid understanding of Fixed Income products, including DerivativesProficiency in Tableau, Alteryx and other data visualization tools