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26/09 Palak
Team Lead - IT at SkillVentory

Views:3755 Applications:64 Rec. Actions:Recruiter Actions:1

Associate/Assistant Vice President - Product Control - Global Market Operations - Bank (5-6 yrs)

Mumbai Job Code: 747821

About Business line/Function :

Global Market Operations (GMO) covers Front Office activities such as ALM/Treasury and Fixed Income local booking. GMO consists of various streams, Control and Investigations, Settlement, Collateral and Reconciliation. GMO teams are also in regular contact with Capital Market Middle Office, Regional Back Office's and Regional Finance.

Position Purpose

- Provide a daily Economic, Step Reval and Risk Based PNL to each desk and to the Bank's management.

- Ensure that PNL is accurate and complies with the EQD Business line methodology.

- Ensure that the PNL is calculated from the reference positions and that these positions are real and checked. Escalate any unusual P&L to the desk and management that may indicate a wrong position or transaction in the FO system.

- Run all the required controls on key elements of the PNL

- Document all exceptional PNL moves and adjustments for Management.

Key Responsibilities

- Produce accurate daily analysis of P&Ls to Trading desks and bank's management.

This includes the 3 different P&L analysis required by the internal Valuation Policy and Regulators:

- Economic P&L (cash + PV) for Management and Accounting P&L reconciliation (performed by Finance)

- Step Reval P&L for VaR back-testing feeds and contribution to Regulatory ratios (used in the Dodd Franck and French Banking Law ratio calculations)

- Risk based P&L to validate FO risk and models.

- Responsible for daily and monthly controls on key elements (positions, market data, adjustments, reserves) and liaise with internal departments in case of issues.

- Perform FO/MO reconciliations between Trading P&L estimations at T and Official MO P&L at T+ 1 and both explain and investigate P&L breaks to FO if any.

- Adjust the P&L if necessary to secure correct P&L reporting and document each

- Monitor daily Funding and fees.

- Interact daily with traders to explain the results of their P&Ls and seek their daily sign- off.

- Report, Comment and Validate the P&Ls into the Official Reporting tool

- Monitor and reconcile monthly R-IM and V&RC reserves during EOM process.

- Actively follow up on updating documentation.

- Organize a monthly meeting with trading to go through all P&L issues during the last month.

- Escalate issues to management on the fly and via Orus.

- Confirm PV to collateral management.

Contribute to:

- Participate to global projects related to MO or P&L processes improvements.

- Participate to local projects related to systems migrations.

- Participate to the improvement of the productivity within the team by proposing initiatives

Competencies (Technical / Behavioral)

- Strong Equity derivatives products knowledge including its models and valuations and/ or strong P&L expertise on other Capital Market products (Rates/FX/Credit etc...)

- Self-discipline and strong autonomy: The candidate must be a self-starter who should be able to work on its own with little supervision.

- Analytical mindset and Attention to detail: Aptitude and desire to understand financial pricing models. Ability to notice any abnormal processes and PNL figures.

- Innovation and initiatives: Demonstrate the willingness to constantly improve the status quo.

- Understand the processes in place and evaluate if needed alternative options to do things better (cost - benefits / ROI approaches). Think - outside the box- .

- Adaptability: Ability to adapt to new situations (new booking systems, new products, new activities to manage...)

- Client Focus: Capacity to work with various clients. Act as partnership with them.

- Escalation process / Reporting: Internal rules of reporting and escalation to Finance, MO, and FO are known & applied.

Specific Qualifications Required

- A Master degree is required, preferably in Economics or Mathematics.

- Master Excel - Programming skills on VBA-Macros is required.

- Understanding of Derivative Products Pricing methodology and Risk Based P&L

- 5 Years prior experience in Product Control team involving Derivatives Products.

Skills and competencies :

Communication Skills :

- Decision Making

- Adaptability & Change Management:

- Ability to develop and leverage networks

- Ability to develop and adapt a process

- Result oriented approach

- Collaborate with remote teams

This job opening was posted long time back. It may not be active. Nor was it removed by the recruiter. Please use your discretion.

Women-friendly workplace:

Maternity and Paternity Benefits

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