Hedge Fund – Product Control recruitment
Working in a mid-sized team you will have responsibility for the following:
•Production and analysis of daily PL and reporting and explanation to the front office
•Daily and monthly price verification
•Production of weekly investor estimates.
•Increase efficiency of pricing and related enhancements.
•Working with external market data providers and valuation experts to source improved information for more accurate NAV calculations
•Ad hoc project work / ongoing process optimisation
In order to qualify for this role you must meet the following criteria:
• Previous investment banking or hedge fund product control/fund control
• Knowledge and experience of credit markets
• Accounting qualification is advantageous
• Teamwork orientated and very capable written and verbal communicator
• Strong IT skill set