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Description:
Job Description.
Assistant Vice President (AVP) / Senior Manager Product Manager (Index Products).
Department: Index Products / Research.
Location: Mumbai.
Role Purpose:
The Product Manager Index Products will be responsible for the design, development, governance, and lifecycle management of commodity indices and index-linked products.
The role involves benchmark creation, regulatory coordination, ecosystem partnerships, and supporting the launch of index-linked futures, options, and ETFs in a regulated market environment.
Designation & Experience:
Assistant Vice President (AVP): 1417 years of relevant experience.
Senior Manager (SM): 1014 years of relevant experience.
Qualifications:
- Postgraduate degree in Finance, Economics, Engineering, or Mathematics.
- Experience working with index providers, exchanges, or quantitative investment teams is desirable.
Key Responsibilities:
Index Design & Development:
- Lead the creation of proprietary and strategic commodity indices across sectors such as bullion, energy, ferrous metals, and agriculture.
- Define and document index methodologies, including commodity selection, weighting schemes, rebalancing frequency, liquidity filters, and roll mechanisms.
- Benchmark index frameworks against global best practices to ensure indices are investable, hedgeable, and credible.
Productization of Indices:
- Support the conversion of indices into tradeable instruments such as index futures, options, and ETFs.
- Coordinate with internal teams to align index-linked products with exchange systems, clearing requirements, and surveillance frameworks.
- Support ETF issuers and structured product partners through index licensing and customized index design.
Regulatory & Governance Compliance:
- Prepare and maintain index methodology documents, governance policies, and change management protocols.
- Coordinate regulatory submissions and approvals in line with benchmark regulations and governance standards.
- Ensure transparency, auditability, and compliance across all indices under the index governance framework.
Market Research & Backtesting:
- Conduct historical backtesting and performance analysis for proposed indices.
- Analyze market behavior, volatility, correlations, and hedging effectiveness.
- Maintain historical datasets, analytical notes, and index whitepapers.
Stakeholder Engagement & Market Education:
- Engage with institutional investors, asset managers, brokers, and portfolio managers to promote index-linked products.
- Partner with external institutions, index providers, or research organizations for co-branded indices and joint research initiatives.
- Drive educational programs and outreach initiatives to enhance awareness of commodity indices and passive investment strategies.
Data Management & Technical Coordination:
- Collaborate with technology and data teams for index calculation, publication, and dissemination.
- Ensure availability of real-time index feeds and historical data through terminals, APIs, and web platforms.
- Manage relationships with index calculation vendors and data distribution partners, where applicable.
Skills & Competencies:
Technical & Analytical Skills:
- Strong understanding of financial index construction methodologies.
- Hands-on experience with Excel, Python, R, or MATLAB.
- Proficiency with financial data platforms such as Bloomberg or Refinitiv.
Regulatory Knowledge:
- Familiarity with benchmark regulations and global index governance principles.
Behavioral & Leadership Skills:
- Strong research orientation and analytical thinking.
- Ability to work across cross-functional teams.
- Excellent communication, documentation, and presentation skills.
Certifications (Preferred, Not Mandatory):
- CFA or FRM.
- NISM or other relevant regulatory certifications.
Candidate Profile:
An industry professional with extensive experience in research-driven index design, development, and lifecycle management of commodity indices and index-linked offerings within a regulated financial market environment.
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