Equity Derivatives Product Control / Market Risk recruitment

The business is very much growing, with ongoing front office-driven investment in new products, systems and talented staff. As part of the wider Equity Product Control team, the businesses supported include Equity Derivatives, Short Term Equity Financing, Structured Notes, Property Derivatives and Proprietary Trading.

Your responsibilities will include undertaking the substantiation and documentation of attribution methodology; reviewing market data; calculation maintenance of fair value adjustments; PL reporting, validation and the production of commentary.

You will have a background in Product Control / Market Risk / Trading with specific exposure to Equity Derivatives being a massive advantage. You will have a very strong understanding of greeks, PL / risk attribution and experience of managing projects improving existing processes / controls.