1.Core Platform & System Ownership
- Define and evolve scalable platform capabilities including user lifecycle management such as onboarding, KYC, and risk profiling.
- Own account management systems, ledgers, portfolio holdings, P&L, and margin infrastructure.
- Manage the order lifecycle including order creation, modification, cancellation, and execution states.
- Build and improve notification systems, s, and real-time event-driven architecture.
- Ensure system reliability, scalability, and performance by collaborating with engineering on API contracts and modular service architecture.
2. Mutual Funds Product Systems
- Own transaction flows including Lumpsum investments, SIP, STP, SWP, and redemption processes.
- Define NAV processing, cut-off time logic, order batching, reconciliation, and RTA integrations.
- Improve portfolio computation accuracy, capital gains reporting, tax statements, and investor reporting systems.
- Ensure compliance with SEBI guidelines and audit requirements.
3. Equity Brokerage Systems
- Define and optimize Order Management Systems (OMS) and Risk Management Systems (RMS).
- Manage real-time market data ingestion, processing, and distribution systems.
- Oversee the full trade lifecycle: order placement - exchange routing - execution - clearing - settlement.
- Work on margin frameworks including VAR, ELM, and peak margin.
- Improve reconciliation processes, contract note generation, and settlement reporting.
4. Futures & Options (F&O) Systems
- Own derivatives lifecycle including option chain data structures and refresh mechanisms.
- Define margin calculation engines such as SPAN and exposure margin frameworks.
- Build risk analytics capabilities including Greeks computation and leverage monitoring.
- Implement safeguards for risk triggers, position limits, and margin checks.
- Ensure real-time MTM updates, P&L calculations, and expiry settlement handling.
5. Data, Risk & Controls
- Define and track key product KPIs including order success rate, latency, reconciliation accuracy, margin utilization, and trade volume.
- Drive event tracking architecture and instrumentation standards.
- Partner with Risk, Compliance, and Finance teams to ensure audit-grade traceability.
- Implement system guardrails to prevent misuse and regulatory breaches.
6. Execution & Stakeholder Alignment
- Translate business requirements into detailed PRDs with functional specifications, API contracts, state diagrams, and edge-case handling.
- Lead sprint planning, roadmap development, and backlog prioritization.
- Work closely with engineering, operations, compliance, risk teams, and exchange partners to deliver high-quality product releases.
Required Qualifications:
- Product Management experience in fintech, brokerage, trading platforms, or capital markets.
- Strong understanding of market microstructure, exchange connectivity, clearing and settlement processes, and margin frameworks.
- Experience working with high-scale, low-latency transactional systems.
- Ability to define system workflows using sequence diagrams, state machines, and data models.
- Strong analytical skills with proficiency in SQL and product analytics tools.
Didn’t find the job appropriate? Report this Job