Responsible for all aspects of equities valuation control of the business, including validation of market data inputs, reporting and analysis
Produce and implement guidelines / procedures for valuation adjustments and price testing across the business, with attention to the design of control
Act as a Business Partner to the Business, Risk, Compliance and Finance
First point of escalation with regards to any discrepancies and breaches
Identify pricing issues, valuation parameters or instrument types that may require particular attention with critical analysis of the valuation issues involved
Contribute to the evolution of the price verification processes. This includes identification of the instruments which create risk in the corresponding parameters and the assessment of alternative checking methods and sources. Analyze and question current processes and contribute to their improvement.
7+ years' experience in derivatives control and pricing analysis within an investment bank
Knowledge of derivative or structured security products
Prior P&L, Product Control or Audit experience or other experience working in a control function
Working product knowledge across a wide range of asset class. Knowledge of Greeks and P&L attribution
Excellent IT skills including Excel, VBA & Access.
Strong communication and interpersonal skills.
Bachelors/Masters degree in a quantitative discipline preferred.
For immediate consideration, please forward resume and contact details to: firstname.lastname@example.org
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