Product Controller – Equity Derivatives recruitment
You will take responsibility for analysing and reconciling the desks PL on a daily basis and ensuring independent verification of pricing levels and taking full ownership for the Balance Sheet on a monthly basis. This role will suit you if you are looking to gain an overview of the business area and a full understanding of how it operates within a bank. You will gain excellent exposure to the Risk Management, Operations, Legal departments and Senior Traders in Front Office, working to resolve any issues or discrepancies with the PL. Furthermore, you will maintain and develop best practice controls around the PL and the Balance Sheet and use your initiative to provide relevant and informative information and support to business.
The ideal candidate will be a newly qualified Accountant coming straight from the accountancy practice environment with excellent academic credentials. You must be able to demonstrate an understanding of accounting principles and their implications and possesses excellent team work and communication skills.
For the successful candidate, this is an invaluable opportunity and a first step towards a career in banking and financial services, which will afford you excellent exposure to Banking products and experience of the internal workings of a Global Investment Bank.