Product Control – Multiple Asset Classes recruitment
As a part of the Product Control team, this role will be accountable for a given set of trading books and tasked with producing a fully signed off set of ledger reconciled PL’s.
Key requirements include:
• A strong understanding of at least one of the following asset classes: Rates, FX, FI, Equities, Commodities.
• Experience in analysing and understanding the “greeks”, as well as demonstrated experience in using them in the PL attribution process.
• Familiarity with reconciliation of the PL and Balance Sheet to the General Ledger
For more information or in order to apply, please contact Matt Hepworth (matthew.hepworth@robertwalters.com ; 0207 509 8660).